Our People
Electric cooperatives were started by people who cared about their neighbors and wanted to make sure that everyone could join in the benefits of electric power. Because our roots are in the cooperative community, Homestead’s people have never lost sight of that mindset: We aim to bring the benefits of investing to all members of our shareholder community.
Surprisingly — or maybe not — that mindset also helps us keep talented, experienced people on the Homestead team. Our diverse crew of associates upholds the cooperative spirit every day.
Whether you’re a co-op employee or family member, an individual investor or an advisor, our people are prepared to meet your needs and answer your questions.
Check the background of our registered representatives and registered principals on FINRA’s BrokerCheck.

Mauricio Agudelo, CFA®
SENIOR FIXED-INCOME PORTFOLIO MANAGER
Mauricio co-manages RE Advisers’ fixed-income strategies. He joined RE Advisers in 2016. Prior to this role, he co-managed taxable fixed-income mutual fund portfolios for Calvert Investment Management, Inc. and held previous positions at Calvert in trading and securities analysis.
Mauricio received a BS in finance from the University of Maryland, Robert H. Smith School of Business. He minored in business culture and language, with a concentration in Spanish. He holds the Chartered Financial Analyst designation.

Brian Allen
SENIOR INSTITUTIONAL SALES CONSULTANT, INVESTMENT ADVISOR REPRESENTATIVE AND REGISTERED REPRESENTATIVE
Brian has been providing investment guidance and client services to Homestead Funds shareholders for more than a decade. He holds FINRA securities licenses Series 6 (Investment Company and Variable Contracts Representative), Series 63 (Uniform Securities Agent State Law) and Series 65 (Investment Adviser Representative).
He is a graduate of King College, where he received a Bachelor’s degree in business administration. He received his MBA from Marymount University.
Brian’s father is a member of Northern Virginia Electric Cooperative, based in Manassas, VA.

Thaddeus Anderson
INVESTMENT OPERATIONS SPECIALIST
Thaddeus has been working in the trade support area of Homestead Funds’ operations since 2002. Born and raised in Brooklyn, New York, Thaddeus may be the biggest Dallas Cowboys fan east of the state of Texas. Outside of work, he enjoys vacations, playing softball and spending time with his family.
He received a BS from State University of New York College at Buffalo and majored in business administration. He received his MBA from the University of Maryland University College.
Thaddeus is a member of Northern Virginia Electric Cooperative, located in Manassas, VA.

Dima Awamleh
SENIOR CLIENT ENGAGEMENT ASSOCIATE AND REGISTERED REPRESENTATIVE
Dima joined Homestead Funds in 2017. She is responsible for coordinating resources to provide proactive service with the goal of developing long-term, successful partnerships with Homestead Funds clients. Prior to this role, she was the client support and business development manager at Calvert Investments, Inc. She has FINRA securities licenses Series 6 (Investment Company and Variable Contracts Products Representative) and Series 63 (Uniform Securities Agent State Law).
Peter is a senior equity analyst supporting RE Advisers’ large- and small-cap value strategies. Prior to joining RE Advisers in 2018, Peter was a senior equity analyst and portfolio manager at Ironwood Investment Management covering a variety of economic sectors. He was also an energy sector specialist at The Boston Company Asset Management.
He is a graduate of Trinity College, where he received a BA in economics and an MBA with a specialization in finance from Boston University.
Prabha manages the company’s large- and small-cap value strategies. Prior to joining RE Advisers in 2002, she was a portfolio manager for a division of GEICO Corporation, where she oversaw a regional equity fund. Prabha began her career with GEICO as an equity analyst with a focus on stocks in the financial and consumer sectors. She has also held senior positions at bank trust and commercial finance companies, where she managed convertible securities funds. She served as a past president and board chair of the CFA Society of Washington, D.C. Prabha is a member of 100 Women in Finance and is included in the group’s female fund manager listing.
She is a graduate of the University of Madras, where she received a Bachelor of Arts degree in economics. She received her Bachelor of Science degree in business economics and an MBA with distinction in finance from American University. Prabha holds the Chartered Financial Analyst designation.
Prabha is a member of Choptank Electric Cooperative, headquartered in Denton, MD.

Sarah Cavanaugh
DIGITAL MARKETING ASSOCIATE
Sarah joined Homestead Funds in 2017. She works on digital campaigns to support sales and client services, along with engagement and education outreach to clients and prospects.
She received a BS from George Mason University and majored in marketing.
Sarah’s aunt is a member of Arizona Electric Power Cooperative, based in Benson, AZ.

Beth Civerolo
DIRECTOR, MUTUAL FUND OPERATIONS AND REGISTERED PRINCIPAL
Beth has been managing operations since 2004. She oversees the client services teams and is proud to play a lead role in supporting her staff with the goal of providing superior client service. She has FINRA securities licenses Series 6 (Investment Company and Variable Contracts), Series 26 (Investment Company Products/Variable Contracts Limited Principal) and Series 63 (Uniform Securities Agent State Law).
She received a BA from John Carroll University and majored in English and communications.
Beth’s mom gets her power from Withlacoochee River Electric Cooperative, located in Dade City FL.

David Corea
INVESTMENT ANALYST
David supports RE Advisers’ fixed-income team by implementing solutions to facilitate the monitoring of portfolio risk, exposures, performance and best execution. He also conducts company financial analysis and data reporting. He joined RE Advisers in 2009 as a member of the Homestead Funds’ operations team and was promoted to the investment analyst position in April 2018.
He is a Bachelor's degree candidate at University of Maryland University College.

Amy DiMauro
BOARD TREASURER AND FINANCIAL OPERATIONS PRINCIPAL
Amy has been working with Homestead Funds since 1996 and became the treasurer of the funds in 2007. She holds FINRA securities license Series 28 (Introducing Broker/Dealer Financial and Operations Principal) and Series 99 (Operations Professional). She passed the Uniform Certified Public Accountant Examination, but no longer maintains the CPA designation.
She received a BS from Bentley College and majored in accounting.

Mark Edwards
FINANCIAL COUNSELOR AND REGISTERED REPRESENTATIVE
Mark brings over 20 years of experience in the investment management community to his position. For the past five years, Mark served in a variety of roles with the PIRC team of NRECA, most recently as an investment and retirement planner.
Prior to this, he served as vice president and senior portfolio manager at Potomac (Direxion) Funds where he provided analysis and investment oversight of 11 equity and fixed income funds and delivered presentations on investment topics to investment advisers, shareholders and the media. He has passed FINRA’s Securities Industry Essentials exam and holds FINRA’s securities licenses Series 6 (Investment Company and Variable Contracts Products Representative) and Series 63 (Uniform Securities Agent State Law).
Mark currently serves on the mission endowment committee of his church. As a former National Park Service Ranger, Mark enjoys hiking, biking, kayaking, fishing and camping with his wife and family.
He received a BS in Foreign Service with a concentration in economics from Georgetown University.
Mark’s grandmother is a member of Cumberland EMC in Clarksville, TN, and Pennyrile Electric in Hopkinsville, KY.

Keith Ellis
SENIOR CLIENT SERVICES ASSOCIATE AND REGISTERED REPRESENTATIVE
Keith provides financial education and account services to clients and communicates the benefits of investing with Homestead Funds. He enjoys bowling and is an avid sports fan, especially soccer and basketball. Keith has FINRA securities licenses Series 6 (Investment Company and Variable Contracts Products Representative) and Series 63 (Uniform Securities Agent State Law).
He received a BA in economics from Ohio State University.

Kara Gardner
RELATIONSHIP MANAGER AND REGISTERED PRINCIPAL
Kara has been with Homestead Funds since 2005 and enjoys helping new and existing shareholders understand the role mutual funds can play in bringing investors closer to their financial goals. Away from work, Kara enjoys being outdoors in the garden and spending time with family. She has FINRA securities licenses Series 6 (Investment Company and Variable Contracts Products Representative), Series 26 (Investment Company Products/Variable Contracts Limited Principal), Series 63 (Uniform Securities Agent State Law) and Series 99 (Operations Professional).
She received a BS from the University of Tennessee and majored in finance.
Kara’s home is powered by Shenandoah Valley Rural Electric Cooperative, based in Winchester, VA.

Michael Hailemeskel
MARKETING AUTOMATION/CRM SPECIALIST
Michael joined Homestead Funds in 2019. He assists in the configuration and customization of the company’s client relationship management system and the implementation of marketing campaigns.
Michael earned his undergraduate degree with honors in business administration at De Monifort University’s Niels Brock Business College and completed his master’s degree in international business and management at the school’s Leicester campus.
Mark is a senior equity analyst supporting RE Advisers’ large- and small-cap value strategies. Mark brings more than 10 years of investment experience, most recently as a senior equity analyst at Chartwell Investment Partners on the large-cap team. Prior to that, he was a senior analyst and portfolio manager at Columbia Partners where he helped oversee growth and value strategies. As an equity analyst, Mark has focused on stocks in the technology and industrials sectors.
Mark is a graduate of Cornell University, where he received a Bachelor of Science degree in operations research and information engineering. He holds the Chartered Financial Analyst designation.

Marc Johnston, CFP®, ChFC®, CAIA®
MONEY MARKET PORTFOLIO MANAGER, FIXED-INCOME ANALYST AND REGISTERED REPRESENTATIVE
Funds
Marc manages the Daily Income Fund portfolio and analyzes risk, return and volatility attributes of RE Advisers’ fixed-income strategies. Before joining RE Advisers investments team in 2013, he held financial services management positions at the company’s parent organization, NRECA, and Citicorp Investment Services. Earlier in his career, he was with New York Life Insurance, where he became a registered representative for the company’s broker-dealer subsidiary. He has FINRA securities licenses Series 7 (General Securities Representative), Series 63 (Uniform Securities Agent State Law) and Series 65 (Investment Adviser Representative).
He is a graduate of Villanova University, where he received a Bachelor’s degree in general arts. After graduating from college, Marc served as an officer in the U.S. Navy. He received his MBA from Northeastern University and holds the designations of Certified Financial Planner™, Chartered Financial Consultant® and Chartered Alternative Investment Analyst®.

Dave McCaskill
SENIOR CLIENT SERVICES ASSOCIATE AND REGISTERED REPRESENTATIVE
Dave helps shareholders with their financial goals by communicating the benefits and resources that Homestead Funds has to offer. In his free time, Dave enjoys coaching his son’s house league basketball team and is a fan of the Washington Nationals. He has FINRA securities licenses Series 6 (Investment Company and Variable Contracts Products Representative) and Series 63 (Uniform Securities Agent State Law).
He received a BSBA from Western Carolina University.

Megan McFarland, CFP®
SENIOR CLIENT RELATIONSHIP ADVISOR, INVESTMENT ADVISOR REPRESENTATIVE AND REGISTERED REPRESENTATIVE
Megan started in the investments industry in 2008 and joined Homestead Funds in 2010. She appreciates that this is a small company — like a family — which is how she views and treats shareholders. She has FINRA securities licenses Series 6 (Investment Company and Variable Contracts Products Representative), Series 63 (Uniform Securities Agent State Law), Series 65 (Investment Adviser Representative) and Series 99 (Operations Professional).
She received a BS from University of Maryland University College and majored in accounting. Megan is a Certified Financial Planner™.
All advisory services are provided by RE Advisers Corporation, a wholly owned subsidiary of RE Investment Corporation and a registered investment adviser.

Quintanya Moat
INVESTMENT OPERATIONS SPECIALIST AND REGISTERED REPRESENTATIVE
Tanya joined the Homestead Funds team in 2010 and in 2016 transferred to the trade support team in management operations. She has FINRA securities licenses Series 6 (Investment Company and Variable Contracts Products Representative) and Series 63 (Uniform Securities Agent State Law).
She is a graduate of Virginia State University, where she received a BS in economics with a concentration in finance. She received her MBA from University of Maryland University College.

Ivan Naranjo, CFA®, FRM®
FIXED-INCOME PORTFOLIO MANAGER
Ivan co-manages RE Advisers’ fixed-income strategies. He joined RE Advisers in 2018. Prior to this role, he was a senior fixed income trader at American Century Investments. He was also an associate portfolio manager at Calvert Investment Management, LLC.
Ivan received a BS in finance from the University of Maryland, Robert H. Smith School of Business. He holds the Chartered Financial Analyst and Financial Risk Manager designations.

Monica Ollivierre, CRCP®, IACCP®
MANAGER, SECURITIES COMPLIANCE AND REGISTERED PRINCIPAL
Monica has been working with Homestead Funds since 1999. She is a Certified Regulatory and Compliance Professional (CRCP) and an Investment Adviser Certified Compliance Professional (IACCP). She has FINRA securities licenses Series 6 (Investment Company and Variable Contracts), Series 26 (Investment Company Products/Variable Contracts Limited Principal), Series 63 (Uniform Securities Agent State Law) and Series 65 (Investment Adviser Representative).
She is a graduate of Hampton University, where she received a BS in business administration. She received her MBA from Averett University.

Wayne Parks
SPECIALIST INVESTMENT TECHNOLOGY & TRADING
Wayne has over 20 years in the asset management industry with a primary role as the interface between investment operations and trading. Specializing as a technical business analyst, he has previously worked at Calvert Investments, Brown Advisory and T. Rowe Price.
He received a BS in biology from McDaniel College.
Jim co-manages the company’s large- and small-cap value strategies. Prior to joining RE Advisers in 2019, he was a portfolio manager at Putnam Investment Management, LLC, where he managed small-, mid- and multi-cap value oriented mutual funds.
He is a graduate of Colby College, where he received a Bachelor of Arts degree in English. He received his MBA from the Olin Graduate School of Business at Babson College. Jim holds the Chartered Financial Analyst designation.

Michelle Rivers
EXECUTIVE ADMINISTRATIVE ASSISTANT
Michelle has provided administrative support for the Homestead Funds team since 1998. Away from work, she enjoys watching movies and spending time with her two sons.
She received a BS from Westwood College and majored in management.

Rachel Rosenberg
SENIOR ASSOCIATE, MARKETING PROGRAMS
Rachel helps prepare and produce fund company communications and supports outreach to clients and prospects. Before joining Homestead Funds in 2016, she worked for the company’s parent organization, NRECA.
She received a BSBA from Appalachian State University and majored in accounting.

Mark Santero
DIRECTOR, PRESIDENT AND CEO; REGISTERED REPRESENTATIVE
Mark joined Homestead Funds in 2018 as president and CEO. He is also president and CEO of the fund company’s investment advisor, RE Advisers. Mark is responsible for shaping the strategic vision and directing the business activities of the fund company and its related money management entity. He oversees portfolio management, operations, client services, marketing and sales. Mark holds FINRA securities license Series 7 (General Securities Representative) and Series 63 (Uniform Securities Agent State Law).
He is a graduate of Fordham University, where he received a Bachelor’s degree in finance. Mark received his MBA in finance from Fordham University’s Graduate School of Business.

John Scott, CFP®
CLIENT RELATIONSHIP ADVISOR, INVESTMENT ADVISOR REPRESENTATIVE AND REGISTERED REPRESENTATIVE
John helps shareholders with their financial goals by communicating the benefits and resources the Homestead Funds has to offer. In his free time, John enjoys playing golf and is an avid fan of all the Washington DC sports teams. He has FINRA securities licenses Series 6 (Investment Company and Variable Contracts Products Representative), Series 63 (Uniform Securities Agent State Law), Series 65 (Investment Adviser Representative) and Series 99 (Operations Professional).
He received a Bachelor of Business Administration (BBA) from the College of William and Mary. John is a Certified Financial Planner™.
All advisory services are provided by RE Advisers Corporation, a wholly owned subsidiary of RE Investment Corporation and a registered investment adviser.

Raymond Scott, CFP®, RICP®
INSTITUTIONAL SALES CONSULTANT, INVESTMENT ADVISOR REPRESENTATIVE AND REGISTERED REPRESENTATIVE
Raymond was born and raised in the small town of Chester, VA. Raymond has had a love for finances since he was a little boy counting his grandma’s quarters on the kitchen floor. He looks forward to sharing his knowledge and passion with Homestead investors to help them achieve their financial goals. He has FINRA securities licenses Series 7 (General Securities Representative), Series 63 (Uniform Securities Agent State Law), Series 65 (Investment Adviser Representative) and Series 99 (Operations Professional).
He received dual BA degrees: one in accounting and a second in business/economics, both from Randolph-Macon College. Raymond is a Certified Financial Planner™ and a Retirement Income Certified Professional.

Danielle Sieverling, IACCP®, QKA®
CHIEF COMPLIANCE OFFICER AND REGISTERED PRINCIPAL
Danielle is the Chief Compliance Officer of Homestead Funds and RE Advisers, positions she has held since 2005. She is an Investment Adviser Certified Compliance Professional (IACCP) and has obtained the Qualified 401(k) Plan Administrator (QKA) designation. She has FINRA securities licenses Series 6 (Investment Company and Variable Contracts), Series 7 (General Securities Representative), Series 26 (Investment Company Products/Variable Contracts Limited Principal) and Series 63 (Uniform Securities Agent State Law).
She is a graduate of Kansas State University, where she received a BS in business administration. She received her MBA from Rockhurst University.

Makia Tillman
MUTUAL FUNDS OPERATIONS SPECIALIST AND REGISTERED REPRESENTATIVE
Makia joined Homestead Funds in 2017 after relocating from the financial hub of Charlotte, NC. She has been in the financial services industry since 2005, with roles such as client service associate, quality assurance analyst and operations team lead. Away from work, she enjoys film photography, crafting and baking with her daughters. She has FINRA securities licenses Series 6 (Investment Company and Variable Contracts Products Representative), Series 63 (Uniform Securities Agent State Law) and Series 99 (Operations Professional).
She received a BSBA from Strayer University.

Laura Tillman
CHIEF MARKETING OFFICER
Laura has over 20 years of experience in the financial services industry. She began her career in the mutual fund industry with T. Rowe Price, also worked at Calvert Group and rejoined Homestead Funds in 2013. She has primary responsibility for messaging, brand, content and creative services. Laura and the other members of the marketing team develop and implement initiatives that build awareness of the company’s capabilities, generate interest and keep shareholders informed.
Laura received a BA from Earlham College where she majored in English literature.
Laura’s mother and stepfather are members of Choptank Electric Cooperative, headquartered in Denton, MD.

Laurie Webster, CFA®
VICE PRESIDENT AND CHIEF OPERATIONS OFFICER; REGISTERED PRINCIPAL
Laurie has over 30 years of experience in the asset management industry including roles in fixed-income portfolio management, index construction and asset management, client servicing, performance measurement and various operational positions. She joined RE Advisers’ in 2017. Prior to this role, she was the vice president of investment operations and indexing at Calvert Investments and chief operation officer at Solomon Hess Capital Management.
She has FINRA securities licenses Series 7 (General Securities Representative), Series 24 (General Securities Principal), Series 63 (Uniform Securities Agent State Law) and Series 99 (Operations Professional)
She is a graduate of University of Colorado, Boulder where she received her BS in business. Laurie holds the Chartered Financial Analyst designation.