Profil
Daniel B. Harris is currently a Principal at Borealis Strategic Capital Partners LP since 2016.
Prior to this, he worked as a Principal at various firms including Nuveen Investments, Inc., Northern Trust Global Investments, Cambridge Associates LLC, and Crédit Agricole Asset Management Alternative Investments SAS. He also served as the Strategy Head at Aurora Investment Management LLC from 2010 to 2015.
Harris completed his undergraduate degree from Wake Forest University in 2000 and earned an MBA from The University of Chicago in 2008.
Postes actifs de Daniel B. Harris
| Sociétés | Poste | Début |
|---|---|---|
Borealis Strategic Capital Partners LP
Borealis Strategic Capital Partners LP Investment ManagersFinance Provides hedge fund management services | Corporate Officer/Principal | 01/10/2016 |
Anciens postes connus de Daniel B. Harris
| Sociétés | Poste | Fin |
|---|---|---|
Crédit Agricole Asset Management Alternative Investments SAS | Corporate Officer/Principal | 31/12/2009 |
Northern Trust Global Investments
Northern Trust Global Investments Investment ManagersFinance Provides investment management services | Corporate Officer/Principal | 31/12/2006 |
Nuveen Investments, Inc.
Nuveen Investments, Inc. Investment ManagersFinance Provides investment management and related services to institutional & individual investors | Corporate Officer/Principal | 31/12/2005 |
Cambridge Associates LLC
Cambridge Associates LLC Investment ManagersFinance Cambridge Associates typically works with their clients to identify and refine their investment objectives, risk parameters and spending needs to determine an appropriate asset allocation and manager structure designed to achieve financial goals. The firm builds custom portfolios that aim to outperform over the long-term. | Corporate Officer/Principal | 31/12/2003 |
Aurora Investment Management LLC
Aurora Investment Management LLC Investment ManagersFinance Aurora Investment Management offers multi-adviser portfolio investment solutions that are either multi-manager, multi-strategy or multi-manager, single-strategy, as well as more customized portfolio solutions. The firm generally allocates clients' capital among a select group of experienced portfolio managers selected for their expertise implementing a certain strategy. Aurora may engage in direct trading, but typically they only do so for hedging and portfolio reallocation purposes or in connection with the liquidation of securities that were distributed in-kind to a client. Cash balances may be invested in any instruments Aurora deems appropriate including, stocks, options, futures, money market instruments, mutual funds, and other investment companies. In addition to directly investing, Aurora may buy or sell interests of an underlying fund in the secondary market. Aurora offers five strategies for the Aurora Funds: Diversified Multi-Strategy, Global Diversified Multi-Strategy, Diversified Hedged Equity, Diversified Global Macro, and Diversified Credit. The firm's Diversified Multi-Strategy approach seeks to generate consistent long-term capital appreciation with low volatility and correlation with the equity and bond markets. The managers selected for this strategy are segmented into six strategies: Long/Short Equities, Long/Short Credit, Opportunistic, Macro, Event-Driven, and Portfolio Hedge. Aurora's Global Diversified Multi-Strategy approach seeks long-term capital appreciation with diversification of risk through a multi-manager, multi-strategy global investment approach. The strategy attempts to provide global diversification across markets which may include the US, Latin America, Eastern and Western Europe, and Asia. The managers of this approach are divided into five strategies: Long/Short Equities, Long/Short Credit, Opportunistic, Macro, and Event-Driven. The Diversified Hedged Equity strategy seeks to provide consistent long-term capital appreciation with moderate volatility and moderate correlation through a multi-manager, single-strategy investment philosophy, focused primarily on hedged equity trading strategies. The underlying hedge fund managers selected for this strategy are segmented into three specialties: Generalists, Sector Specialists, and Geographic Specialists. Aurora's Diversified Global Macro strategy seeks to generate consistent long-term capital appreciation with low correlation through a portfolio with a diversified risk profile. The managers selected for this strategy are segmented into six strategies: Discretionary, Systematic, Commodities, Macro Equity, Emerging Markets, and Tail-Risk. The firm's Diversified Credit strategy is designed to generate long-term capital appreciation by investing with hedge fund managers that utilize a long/short credit investment strategy. ^ | Directeur de la Recherche - Actions | - |
Formation de Daniel B. Harris
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
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Relations au 1er degré
Entreprises liées au 1er degré
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Sociétés liées
| Entreprise privées | 8 |
|---|---|
Nuveen Investments, Inc.
Nuveen Investments, Inc. Investment ManagersFinance Provides investment management and related services to institutional & individual investors | Finance |
Northern Trust Global Investments
Northern Trust Global Investments Investment ManagersFinance Provides investment management services | Finance |
Wake Forest University
Wake Forest University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
The University of Chicago
The University of Chicago Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Cambridge Associates LLC
Cambridge Associates LLC Investment ManagersFinance Cambridge Associates typically works with their clients to identify and refine their investment objectives, risk parameters and spending needs to determine an appropriate asset allocation and manager structure designed to achieve financial goals. The firm builds custom portfolios that aim to outperform over the long-term. | Finance |
Crédit Agricole Asset Management Alternative Investments SAS | |
Aurora Investment Management LLC
Aurora Investment Management LLC Investment ManagersFinance Aurora Investment Management offers multi-adviser portfolio investment solutions that are either multi-manager, multi-strategy or multi-manager, single-strategy, as well as more customized portfolio solutions. The firm generally allocates clients' capital among a select group of experienced portfolio managers selected for their expertise implementing a certain strategy. Aurora may engage in direct trading, but typically they only do so for hedging and portfolio reallocation purposes or in connection with the liquidation of securities that were distributed in-kind to a client. Cash balances may be invested in any instruments Aurora deems appropriate including, stocks, options, futures, money market instruments, mutual funds, and other investment companies. In addition to directly investing, Aurora may buy or sell interests of an underlying fund in the secondary market. Aurora offers five strategies for the Aurora Funds: Diversified Multi-Strategy, Global Diversified Multi-Strategy, Diversified Hedged Equity, Diversified Global Macro, and Diversified Credit. The firm's Diversified Multi-Strategy approach seeks to generate consistent long-term capital appreciation with low volatility and correlation with the equity and bond markets. The managers selected for this strategy are segmented into six strategies: Long/Short Equities, Long/Short Credit, Opportunistic, Macro, Event-Driven, and Portfolio Hedge. Aurora's Global Diversified Multi-Strategy approach seeks long-term capital appreciation with diversification of risk through a multi-manager, multi-strategy global investment approach. The strategy attempts to provide global diversification across markets which may include the US, Latin America, Eastern and Western Europe, and Asia. The managers of this approach are divided into five strategies: Long/Short Equities, Long/Short Credit, Opportunistic, Macro, and Event-Driven. The Diversified Hedged Equity strategy seeks to provide consistent long-term capital appreciation with moderate volatility and moderate correlation through a multi-manager, single-strategy investment philosophy, focused primarily on hedged equity trading strategies. The underlying hedge fund managers selected for this strategy are segmented into three specialties: Generalists, Sector Specialists, and Geographic Specialists. Aurora's Diversified Global Macro strategy seeks to generate consistent long-term capital appreciation with low correlation through a portfolio with a diversified risk profile. The managers selected for this strategy are segmented into six strategies: Discretionary, Systematic, Commodities, Macro Equity, Emerging Markets, and Tail-Risk. The firm's Diversified Credit strategy is designed to generate long-term capital appreciation by investing with hedge fund managers that utilize a long/short credit investment strategy. ^ | Finance |
Borealis Strategic Capital Partners LP
Borealis Strategic Capital Partners LP Investment ManagersFinance Provides hedge fund management services | Finance |
















