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Chris Freeze
- Head of Investor Relations
About Chris Freeze
Chris Freeze leads all aspects of Churchill’s investor relations efforts including ongoing investor reporting and communication with Churchill’s global investor base. He has deep experience managing relationships with a diverse range of global institutional, sovereign wealth fund and family office investors including building and managing a best-in-class team of investor relations professionals.
Before joining Churchill, Chris spent over nine years as a Managing Director at The Carlyle Group. Most recently he was co-head of Investor Relations and CEO of the Firm’s FINRA licensed broker/dealer where he led a group of professionals focused on fundraising for all of the firm’s key investment strategies. Prior to joining Carlyle, Chris was the Chief Operating Officer of Credit Suisse’s Customized Fund Investment Group (CFIG). Prior to joining CFIG, he was the Chief Compliance Officer of Credit Suisse Private Advisors, a FINRA licensed broker\dealer and investment adviser domiciled in Zurich. He began his career as an Assistant District Attorney in the Kings County (Brooklyn) District Attorney’s Office.
Chris received his B.A. from St. John’s University, an M.A. from John Jay College, a J.D. degree from St. John’s University School of Law and an L.L.M. (Corporations) from New York University School of Law. He has held the FINRA Series 3, 4, 7, 8, 24, 53, 63, 65 and 66 licenses.
Before joining Churchill, Chris spent over nine years as a Managing Director at The Carlyle Group. Most recently he was co-head of Investor Relations and CEO of the Firm’s FINRA licensed broker/dealer where he led a group of professionals focused on fundraising for all of the firm’s key investment strategies. Prior to joining Carlyle, Chris was the Chief Operating Officer of Credit Suisse’s Customized Fund Investment Group (CFIG). Prior to joining CFIG, he was the Chief Compliance Officer of Credit Suisse Private Advisors, a FINRA licensed broker\dealer and investment adviser domiciled in Zurich. He began his career as an Assistant District Attorney in the Kings County (Brooklyn) District Attorney’s Office.
Chris received his B.A. from St. John’s University, an M.A. from John Jay College, a J.D. degree from St. John’s University School of Law and an L.L.M. (Corporations) from New York University School of Law. He has held the FINRA Series 3, 4, 7, 8, 24, 53, 63, 65 and 66 licenses.