Profil
Christopher Jae Stephan worked as a Senior Analyst at ING Clarion Real Estate Securities LLC from 2010 to 2011.
Prior to that, he worked as a Portfolio Administrator at Rittenhouse Asset Management, Inc. and as an Investment Intern at Prudential Securities Credit Corp.
LLC.
From 2011 to 2019, he worked as a Vice President & Senior Analyst at CBRE Investment Management Listed Real Assets LLC.
He received his undergraduate degree from The Pennsylvania State University.
Anciens postes connus de Christopher Jae Stephan
| Sociétés | Poste | Fin |
|---|---|---|
CBRE Investment Management Listed Real Assets LLC
CBRE Investment Management Listed Real Assets LLC Investment ManagersFinance CBRE IMLRA actively manages portfolios to either outperform a passive index strategy or achieve a target rate of return through expertise and research of both listed and direct real estate and infrastructure markets. The firm employs top-down market assessment and bottom-up stock selection. | Analyst-Equity | 01/11/2019 |
ING Clarion Real Estate Securities LLC
ING Clarion Real Estate Securities LLC Investment ManagersFinance ING Clarion Real Estate Securities manages real estate securities portfolios for institutional and individual investors. The firm invests in and manages office, retail, multi-family residential, industrial, self-storage and hotel properties around the world. Their strategies include global, international, US, European and Asia/Pacific. ING Clarion Real Estate Securities' strategies seek to maximize total return (income plus capital appreciation) by investing in a diversified portfolio of publicly-traded real estate companies. They employ a top-down asset allocation approach which is combined with a bottom-up security selection process. ING Clarion Real Estate Securities seeks to identify regions and sectors with the strongest fundamentals and companies with the best risk-adjusted return potential | Analyst-Equity | 30/06/2011 |
Prudential Securities Credit Corp. LLC
Prudential Securities Credit Corp. LLC Finance/Rental/LeasingFinance Provides financial services | Corporate Officer/Principal | - |
Rittenhouse Asset Management, Inc.
Rittenhouse Asset Management, Inc. Investment ManagersFinance Rittenhouse Asset Management actively manages equity, balanced and fixed-income portfolios concentrating on high quality, large-cap growth stocks and high-grade, intermediate-term bonds. Rittenhouse's Large-Cap Growth strategy focuses on large-cap companies with sustainable earnings growth, industry leadership, financial strength and proven management teams. They utilize a collaborative, team-oriented approach to stock selection and portfolio construction. Portfolio managers and research analysts perform disciplined, rigorous bottom-up fundamental research, seeking investment opportunities likely to deliver earnings growth and price appreciation over time. Stocks are monitored for changes to their risk-reward profiles and new investment opportunities. Portfolios are invested 95% or more in equities and contain 30 to 50 companies diversified by both sector and industry. The benchmark is the Russell 1000 Growth and the S&P 500. Rittenhouse's Large-Cap Balanced portfolio combines their growth equity discipline with a selection of quality fixed-income securities to provide further risk management. Their fixed-income research process determines their economic outlook and interest rate expectations and positions the portfolio accordingly with respect to average maturity and duration. Balanced portfolios generally maintain a 65 to 75 percent weighting in equities, including 30 to 50 companies diversified by sector and industry and high-quality, short- to intermediate-term bonds with maturities limited to 10 years. Benchmarks used include 65% Russell 1000 Growth/35% Lehman Brothers Government/Credit Intermediate Bond and 65% S&P 500/35% Lehman Brothers Government/Credit Intermediate Bond. | Corporate Officer/Principal | - |
Formation de Christopher Jae Stephan
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
Relations
Relations au 1er degré
Entreprises liées au 1er degré
Homme
Femme
Administrateurs
Exécutifs
Sociétés liées
| Entreprise privées | 5 |
|---|---|
ING Clarion Real Estate Securities LLC
ING Clarion Real Estate Securities LLC Investment ManagersFinance ING Clarion Real Estate Securities manages real estate securities portfolios for institutional and individual investors. The firm invests in and manages office, retail, multi-family residential, industrial, self-storage and hotel properties around the world. Their strategies include global, international, US, European and Asia/Pacific. ING Clarion Real Estate Securities' strategies seek to maximize total return (income plus capital appreciation) by investing in a diversified portfolio of publicly-traded real estate companies. They employ a top-down asset allocation approach which is combined with a bottom-up security selection process. ING Clarion Real Estate Securities seeks to identify regions and sectors with the strongest fundamentals and companies with the best risk-adjusted return potential | Finance |
Rittenhouse Asset Management, Inc.
Rittenhouse Asset Management, Inc. Investment ManagersFinance Rittenhouse Asset Management actively manages equity, balanced and fixed-income portfolios concentrating on high quality, large-cap growth stocks and high-grade, intermediate-term bonds. Rittenhouse's Large-Cap Growth strategy focuses on large-cap companies with sustainable earnings growth, industry leadership, financial strength and proven management teams. They utilize a collaborative, team-oriented approach to stock selection and portfolio construction. Portfolio managers and research analysts perform disciplined, rigorous bottom-up fundamental research, seeking investment opportunities likely to deliver earnings growth and price appreciation over time. Stocks are monitored for changes to their risk-reward profiles and new investment opportunities. Portfolios are invested 95% or more in equities and contain 30 to 50 companies diversified by both sector and industry. The benchmark is the Russell 1000 Growth and the S&P 500. Rittenhouse's Large-Cap Balanced portfolio combines their growth equity discipline with a selection of quality fixed-income securities to provide further risk management. Their fixed-income research process determines their economic outlook and interest rate expectations and positions the portfolio accordingly with respect to average maturity and duration. Balanced portfolios generally maintain a 65 to 75 percent weighting in equities, including 30 to 50 companies diversified by sector and industry and high-quality, short- to intermediate-term bonds with maturities limited to 10 years. Benchmarks used include 65% Russell 1000 Growth/35% Lehman Brothers Government/Credit Intermediate Bond and 65% S&P 500/35% Lehman Brothers Government/Credit Intermediate Bond. | Finance |
The Pennsylvania State University
The Pennsylvania State University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Prudential Securities Credit Corp. LLC
Prudential Securities Credit Corp. LLC Finance/Rental/LeasingFinance Provides financial services | Finance |
CBRE Investment Management Listed Real Assets LLC
CBRE Investment Management Listed Real Assets LLC Investment ManagersFinance CBRE IMLRA actively manages portfolios to either outperform a passive index strategy or achieve a target rate of return through expertise and research of both listed and direct real estate and infrastructure markets. The firm employs top-down market assessment and bottom-up stock selection. | Finance |
















