Eric Garner Mencke

Eric Garner Mencke

Gestionnaire de Portefeuille-Actions chez
1832 Asset Management LP
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Profil

Mr. Eric G.
Mencke is a Vice President & Portfolio Manager at 1832 Asset Management LP.
He joined the firm on May 4, 2016 bringing over 25 years of investment industry experience.
Prior to joining the firm, Mr. Mencke was Vice President & Portfolio Manager with the Canadian Equity team of a major Canadian mutual fund company from 2008 to 2016.
He was Co-Portfolio Manager on a number of mandates including Canadian balanced funds, several Canadian equity funds, and a Canadian Dividend fund with total assets under management of approximately $4 billion.
The funds he managed were concentrated portfolios driven by bottom-up fundamental analysis with a focus on managing downside risk and long-term investment horizons.
He began his investment industry career in May 2000 at TD Newcrest as an Equity Research Analyst covering cable, telecom, and media stocks.
Prior to beginning his career in investment management, he was an Audit Manager in the Assurance & Advisory Business Services Department at Ernst & Young LLP.
Mr. Mencke received both a Bachelor of Arts in Administrative & Commercial Studies from Western University and a Diploma in Accounting from Wilfrid Laurier University in 1995.
He is a CFA charter holder and earned his CPA, CA, designation in 1999.

Postes actifs de Eric Garner Mencke

SociétésPosteDébut
Gestionnaire de Portefeuille-Actions 04/05/2016

Anciens postes connus de Eric Garner Mencke

SociétésPosteFin
Corporate Officer/Principal -
Corporate Officer/Principal 31/12/1999
Gestionnaire de Portefeuille-Actions -
Analyst-Equity 31/01/2006
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