David Bolduc began his career as an Underwriter with American International Group in New York City. He later joined Strategic Risk Solutions in Massachusetts as a Risk Analyst where he performed a number of underwriting and claims studies for Captives and Risk Retention Groups, including United Educators Risk Retention Group, the largest Risk Retention Group domiciled in the United States. He also managed the day-to-day operations of a Bermuda-based Alternative Risk Transfer Reinsurance Company. He later joined the asset management arm of Hanover Insurance Company, where he served as Director of Sales for unaffiliated insurance company asset management. He also served in a number of fixed income and precious metals asset management roles for Lehman Brothers Asset Management and Bullion Management Group. He holds a Bachelor of Arts degree in Business Economics from Brown University. He also holds an Associate in Risk Management (ARM) and Associate in Reinsurance (ARe) degree from the Insurance Institute, and a Chartered Financial Analyst (CFA) degree from the CFA Institute.