Profil
Mr. Wayne Corbitt is a Managing Director at InTrust Advisors, Inc. He is also an accomplished author and newsletter writer.
A computer programmer for over 25 years, he has specialized in the financial services industry since then.
He has vast experience working with both a smaller, emerging hedge fund and several full service financial firms.
He was previously investment strategist at Trademark Capital Management where he co-managed $60 million in client assets.
He also developed, and implemented investment and market overlay systems that consistently outperformed the broader markets, while reducing overall portfolio risk.
Other areas of responsibility included research and due diligence centered on that firm’s investment themes.
Prior to that, Mr. Corbitt was the director of research for the I2 hedge fund in Scottsdale, Arizona.
While with I2, he developed an investment model for the Real Estate Equity Investment Trust sector (or REITs) that generated signals based on relative strength and interest rate trend changes.
He also developed a number of complimentary trading systems that, when paired with higher level investment models, enhanced returns and reduced overall risk.
Prior to working with I2, he was a research associate/programmer for Flexible Plan Investments, automating trading systems used by Flexible Plan’s money managers.
He was also involved in developing of new trading strategies and tactics that were later implemented by the money managers.
Mr. Corbitt has a degree from Henry Ford Community College in Dearborn, Michigan.
Ehemalige bekannte Positionen von Wayne Corbitt
| Unternehmen | Position | Ende |
|---|---|---|
Plains Ventures
Plains Ventures Investment ManagersFinance Plains Ventures invests in companies located in the United States, particularly in Oklahoma. The firm focuses on life sciences and technology sectors. It participates in seed and early stage capital requirements with an investment size of USD 0.25 - 1 million. The firm also makes co-investments. | Corporate Officer/Principal | - |
Flexible Plan Investments Ltd.
Flexible Plan Investments Ltd. Investment ManagersFinance FPI is a quantitative asset management firm that utilizes both fundamental and technical factors in their security analysis. They utilize a number of indicators, factors and statistics commonly available to investors, as well as a number of proprietary stock and bond market indicators to identify undervalued securities and market conditions. The firm attempts to identify specific Investments which, in any given time frame and/or set of conditions may outperform similar Investments. In the management of their clients’ investment accounts, FPI employs mathematical, technical and fundamental models and indicators, some of which are proprietary. | Analyst-Equity | - |
Trademark Capital Management, Inc.
Trademark Capital Management, Inc. Investment ManagersFinance Trademark Capital manages most of their portfolios using an active strategy guided by their principal investment model, a proprietary, rules-based tactical asset allocation designed to react to current market conditions. The model uses a variety of quantitative measures to determine the overall risk levels in the marketplace. These levels determine the rules they use to buy and sell investments for client accounts. The firm primarily allocates client investment assets among various ETFs, mutual funds, fixed income securities, individual equity (stocks), and on a discretionary basis. | Corporate Officer/Principal | - |
InTrust Advisors, Inc.
InTrust Advisors, Inc. Investment ManagersFinance InTrust assists investors in realizing high risk-adjusted returns through hedge fund investing and active trading strategies. The firm is also a multi-client family office. They use market-neutral, arbitrage, multi-strategy and long/short equity managers in developing their portfolios. InTrust focuses on emerging managers with growing industry track records. | Analyst-Equity | - |
Ausbildung von Wayne Corbitt
Erfahrungen
Besetzte Positionen
Aktive
Inaktive
Börsennotierte Unternehmen
Private Unternehmen
Beziehungen
Beziehungen ersten Grades
Unternehmen ersten Grades
Herr
Frau
Aufsichtsräte
Führungskräfte
Unternehmensverbindungen
| Private Unternehmen | 5 |
|---|---|
Flexible Plan Investments Ltd.
Flexible Plan Investments Ltd. Investment ManagersFinance FPI is a quantitative asset management firm that utilizes both fundamental and technical factors in their security analysis. They utilize a number of indicators, factors and statistics commonly available to investors, as well as a number of proprietary stock and bond market indicators to identify undervalued securities and market conditions. The firm attempts to identify specific Investments which, in any given time frame and/or set of conditions may outperform similar Investments. In the management of their clients’ investment accounts, FPI employs mathematical, technical and fundamental models and indicators, some of which are proprietary. | Finance |
Davenport University
Davenport University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
InTrust Advisors, Inc.
InTrust Advisors, Inc. Investment ManagersFinance InTrust assists investors in realizing high risk-adjusted returns through hedge fund investing and active trading strategies. The firm is also a multi-client family office. They use market-neutral, arbitrage, multi-strategy and long/short equity managers in developing their portfolios. InTrust focuses on emerging managers with growing industry track records. | Finance |
Plains Ventures
Plains Ventures Investment ManagersFinance Plains Ventures invests in companies located in the United States, particularly in Oklahoma. The firm focuses on life sciences and technology sectors. It participates in seed and early stage capital requirements with an investment size of USD 0.25 - 1 million. The firm also makes co-investments. | Finance |
Trademark Capital Management, Inc.
Trademark Capital Management, Inc. Investment ManagersFinance Trademark Capital manages most of their portfolios using an active strategy guided by their principal investment model, a proprietary, rules-based tactical asset allocation designed to react to current market conditions. The model uses a variety of quantitative measures to determine the overall risk levels in the marketplace. These levels determine the rules they use to buy and sell investments for client accounts. The firm primarily allocates client investment assets among various ETFs, mutual funds, fixed income securities, individual equity (stocks), and on a discretionary basis. | Finance |
















