Profil
Prior to joining Sector Capital Management in 1995, Mr. Kirk was a managing director of Morgan-Keegan, a New York Stock Exchange member firm headquartered in Memphis.
He was also a former Trust Investment Officer with the First Tennessee Bank.
He has wealth of experience in the investment management and securities brokerage businesses.
Mr. Kirk attended the University of Memphis and LaSalle University, where he received a Bachelor of Science degree in Marketing.
Anciens postes connus de George S. Kirk
| Sociétés | Poste | Fin |
|---|---|---|
Sector Capital Management LLC (Old)
Sector Capital Management LLC (Old) Investment ManagersFinance Sector Capital Management's investment process focuses on earnings growth, price, liquidity and safety (defined as reduced risk for decline in value). They strive to provide high-quality portfolios that have consistent added-value performance over the S&P 500 Index. Sector Capital's investment process is based primarily on a quantitative analysis of fundamental and technical factors. Through a quantitative, formula-driven evaluation of stock price versus earnings growth, they identify stocks that are trading at a discount relative to the present value of future earnings. This results in companies with high S&P and analyst ratings that have achieved superior earnings growth with relatively low P/E ratios. The formula also encompasses a built-in sell discipline. Their portfolios are reconstituted at least quarterly and rebalanced as needed. They offer several portfolios including Sector Plus, Sector Select, PathFinder and Mid-Cap. The Sector Plus strategy is a mixed-cap strategy that consists primarily of large-cap stocks with mid-cap stocks making up to, but no more than 30% of the portfolio. The Sector Select strategy is a large-cap strategy. The PathFinder strategy is a socially responsible, mixed-cap strategy that consists primarily of large-cap stocks with mid-cap stocks making up to, but no more than 30% of the portfolio. | Membre du Comité d'Investissement | 30/06/2009 |
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
Sociétés liées
| Entreprise privées | 1 |
|---|---|
Sector Capital Management LLC (Old)
Sector Capital Management LLC (Old) Investment ManagersFinance Sector Capital Management's investment process focuses on earnings growth, price, liquidity and safety (defined as reduced risk for decline in value). They strive to provide high-quality portfolios that have consistent added-value performance over the S&P 500 Index. Sector Capital's investment process is based primarily on a quantitative analysis of fundamental and technical factors. Through a quantitative, formula-driven evaluation of stock price versus earnings growth, they identify stocks that are trading at a discount relative to the present value of future earnings. This results in companies with high S&P and analyst ratings that have achieved superior earnings growth with relatively low P/E ratios. The formula also encompasses a built-in sell discipline. Their portfolios are reconstituted at least quarterly and rebalanced as needed. They offer several portfolios including Sector Plus, Sector Select, PathFinder and Mid-Cap. The Sector Plus strategy is a mixed-cap strategy that consists primarily of large-cap stocks with mid-cap stocks making up to, but no more than 30% of the portfolio. The Sector Select strategy is a large-cap strategy. The PathFinder strategy is a socially responsible, mixed-cap strategy that consists primarily of large-cap stocks with mid-cap stocks making up to, but no more than 30% of the portfolio. | Finance |
















