Ehemalige bekannte Positionen von Alan Pinto
| Unternehmen | Position | Ende |
|---|---|---|
Hellman, Jordan Management Co., Inc.
Hellman, Jordan Management Co., Inc. Investment ManagersFinance HJMC's primary investment strategy is to invest in growth equity securities with above average earnings potential. The strategy uses a top-down, bottom-up, investment process to identify 4-6 main growth themes within the markets. This opportunistic, theme-based approach is then complemented by using a concentrated collection of approximately 25-50 stock positions to help focus attention and maximize performance. The stocks that the firm most often invests in typically fall within the range of the top 700 mid to large-cap growth companies. The majority of these names are usually found in either the S&P 500 or Russell 1000 Growth Index. | Corporate Officer/Principal | 28.02.1998 |
DG Capital Management Trust
DG Capital Management Trust Investment ManagersFinance DG Capital Management employs an opportunistic growth investment strategy that seeks long-term capital growth. Portfolios are typically invested in a broadly diversified selection of companies that the firm believes demonstrate a high probability for superior growth. The firm's investment strategy is based on the belief that corporate earnings are the primary driver of stock prices. They seek to invest in mid- to large-cap companies with growing revenues, strong management teams and reasonable price-to-earnings valuations. DG Capital Management uses a disciplined approach that combines internal research with industry contacts, interviews with company management, trade shows and conferences. The majority of their portfolios have a core-to-growth style bias. They also invest in special situations stocks when such investments will benefit the portfolio. DG Capital Management focuses mainly on the long-term investment horizon with the belief that returns will be superior to other asset classes and that growth stocks generally provide the best opportunities for significant capital appreciation. They also believe that stock market volatility makes capital preservation strategies important as well. The firm's active investment strategy allows them to quickly react to changing market conditions and to increase cash levels and/or employ short selling as a defensive measure when they believe stocks are overvalued. DG Capital Management invests across a broad range of sectors including, but not limited to finance, energy mineral, process industries, electronic technology, consumer non-durables and technology services. The firm invests globally, with emphasis on companies located in the US, Canada and Europe. DG Capital Management maintains a medium turnover rate. | Analyst-Equity | - |
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| Private Unternehmen | 3 |
|---|---|
Hellman, Jordan Management Co., Inc.
Hellman, Jordan Management Co., Inc. Investment ManagersFinance HJMC's primary investment strategy is to invest in growth equity securities with above average earnings potential. The strategy uses a top-down, bottom-up, investment process to identify 4-6 main growth themes within the markets. This opportunistic, theme-based approach is then complemented by using a concentrated collection of approximately 25-50 stock positions to help focus attention and maximize performance. The stocks that the firm most often invests in typically fall within the range of the top 700 mid to large-cap growth companies. The majority of these names are usually found in either the S&P 500 or Russell 1000 Growth Index. | Finance |
DG Capital Management Trust
DG Capital Management Trust Investment ManagersFinance DG Capital Management employs an opportunistic growth investment strategy that seeks long-term capital growth. Portfolios are typically invested in a broadly diversified selection of companies that the firm believes demonstrate a high probability for superior growth. The firm's investment strategy is based on the belief that corporate earnings are the primary driver of stock prices. They seek to invest in mid- to large-cap companies with growing revenues, strong management teams and reasonable price-to-earnings valuations. DG Capital Management uses a disciplined approach that combines internal research with industry contacts, interviews with company management, trade shows and conferences. The majority of their portfolios have a core-to-growth style bias. They also invest in special situations stocks when such investments will benefit the portfolio. DG Capital Management focuses mainly on the long-term investment horizon with the belief that returns will be superior to other asset classes and that growth stocks generally provide the best opportunities for significant capital appreciation. They also believe that stock market volatility makes capital preservation strategies important as well. The firm's active investment strategy allows them to quickly react to changing market conditions and to increase cash levels and/or employ short selling as a defensive measure when they believe stocks are overvalued. DG Capital Management invests across a broad range of sectors including, but not limited to finance, energy mineral, process industries, electronic technology, consumer non-durables and technology services. The firm invests globally, with emphasis on companies located in the US, Canada and Europe. DG Capital Management maintains a medium turnover rate. | Finance |
Wichita State University
Wichita State University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
















