Profil
Mr. Donald O'Hara is Chief Operating & Compliance Officer at AlphaOne Investment Services LLC.
Prior to joining AlphaOne in 2009, he was the Controller for Reliance International Research, the Investment Advisor to the Reliance Management family of alternative investment vehicles.
Before joining Reliance International Research, Mr. O’Hara served as the Senior Performance Analyst for CMS Companies as well as Operations Analyst for Gartmore Global Investments.
He has also spent many years in back office operations and accounting at Brinker Capital and SEI Investments.
Mr. O’Hara has earned an MBA in Finance from Villanova University in 1999 and a Bachelor of Science degree in Economics from Pennsylvania State University 1994.
Anciens postes connus de Donald O'Hara
| Sociétés | Poste | Fin |
|---|---|---|
NWD Investment Management, Inc.
NWD Investment Management, Inc. Investment ManagersFinance Provides asset management services | Corporate Officer/Principal | - |
| SEI INVESTMENTS COMPANY | Corporate Officer/Principal | - |
CMS Cos.
CMS Cos. Investment ManagersFinance Alternative investment manager | Corporate Officer/Principal | - |
Brinker Capital, Inc.
Brinker Capital, Inc. Investment ManagersFinance Brinker Capital adheres to a multi-asset class investment philosophy, utilizing a mix of growth, stable, and diversifying assets, as well as active and passive investments within their portfolios. The firm’s portfolios are generally allocated among different portfolio managers and invested in individual equity and fixed income securities, mutual funds and/or ETFs. Domestic and international equity assets are utilized for growth, providing long-term capital appreciation with a higher level of volatility. Fixed income assets provide stability with a lower volatility profile and an income stream. Global credit, absolute return, and real assets provide a differentiated source of return with a varied volatility profile. The Asset Allocation Committee sets the long-term strategic asset class weightings for all portfolios, including active and passive allocations, working to identify cyclical secular trends to generate alpha through asset allocation. | Corporate Officer/Principal | - |
AlphaOne Investment Services LLC
AlphaOne Investment Services LLC Investment ManagersFinance AlphaOne Investment Services' (AOIS) investment strategy for the AlphaOne Micro Cap Equity Fund is to build a portfolio with a risk profile less than that of the Russell 2000 Index that is comprised of both “value” and “growth” stocks through investing in equity securities of micro-cap companies. The AlphaOne Satori Master Fund Ltd. pursues a long/short investment strategy that focuses on investing in securities (including debt, derivatives and equity) of companies across a broad range of industries. The fund invests in securities listed in the US, as well as those which trade on internationally recognized exchanges or over-the-counter markets overseas. The funds generally place emphasis on investments in the following sectors: consumer, emerging/green technology, energy, financial, industrial, media, REITs, retailing, services, technology, telecommunications and transportation. The AlphaOne Global Innovations Master Fund Ltd. pursues a long/short investment strategy that primarily invests in the securities (including derivatives and equity) of companies in the technology, technology-related, media, alternative energy, and telecommunication industries. This includes companies listed in the US, as well as those which trade on internationally recognized exchanges or over-the-counter markets overseas. AOIS acts as the investment advisor and provides discretionary advisory services to corporations, institutions, pension plans, and charitable organizations through managed accounts. Some accounts are individually tailored and some are managed through AOIS' model investment strategies. The firm offers Small-Cap Growth, Small-Cap Core, Micro-Cap Core, Long/Short Technology and Long/Short model investment strategies for managed accounts. | Compliance Officer | - |
Formation de Donald O'Hara
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 | 7 |
|---|---|
SEI Investments Co.
SEI Investments Co. Investment ManagersFinance Provides global investment solutions to institutions and individuals | Finance |
CMS Cos.
CMS Cos. Investment ManagersFinance Alternative investment manager | Finance |
NWD Investment Management, Inc.
NWD Investment Management, Inc. Investment ManagersFinance Provides asset management services | Finance |
Brinker Capital, Inc.
Brinker Capital, Inc. Investment ManagersFinance Brinker Capital adheres to a multi-asset class investment philosophy, utilizing a mix of growth, stable, and diversifying assets, as well as active and passive investments within their portfolios. The firm’s portfolios are generally allocated among different portfolio managers and invested in individual equity and fixed income securities, mutual funds and/or ETFs. Domestic and international equity assets are utilized for growth, providing long-term capital appreciation with a higher level of volatility. Fixed income assets provide stability with a lower volatility profile and an income stream. Global credit, absolute return, and real assets provide a differentiated source of return with a varied volatility profile. The Asset Allocation Committee sets the long-term strategic asset class weightings for all portfolios, including active and passive allocations, working to identify cyclical secular trends to generate alpha through asset allocation. | Finance |
The Pennsylvania State University
The Pennsylvania State University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Villanova University
Villanova University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
AlphaOne Investment Services LLC
AlphaOne Investment Services LLC Investment ManagersFinance AlphaOne Investment Services' (AOIS) investment strategy for the AlphaOne Micro Cap Equity Fund is to build a portfolio with a risk profile less than that of the Russell 2000 Index that is comprised of both “value” and “growth” stocks through investing in equity securities of micro-cap companies. The AlphaOne Satori Master Fund Ltd. pursues a long/short investment strategy that focuses on investing in securities (including debt, derivatives and equity) of companies across a broad range of industries. The fund invests in securities listed in the US, as well as those which trade on internationally recognized exchanges or over-the-counter markets overseas. The funds generally place emphasis on investments in the following sectors: consumer, emerging/green technology, energy, financial, industrial, media, REITs, retailing, services, technology, telecommunications and transportation. The AlphaOne Global Innovations Master Fund Ltd. pursues a long/short investment strategy that primarily invests in the securities (including derivatives and equity) of companies in the technology, technology-related, media, alternative energy, and telecommunication industries. This includes companies listed in the US, as well as those which trade on internationally recognized exchanges or over-the-counter markets overseas. AOIS acts as the investment advisor and provides discretionary advisory services to corporations, institutions, pension plans, and charitable organizations through managed accounts. Some accounts are individually tailored and some are managed through AOIS' model investment strategies. The firm offers Small-Cap Growth, Small-Cap Core, Micro-Cap Core, Long/Short Technology and Long/Short model investment strategies for managed accounts. | Finance |
















