Profil
Paul William Elia worked as a Portfolio Analyst at Chartwell Investment Partners LLC from 2006 to 2010.
Prior to that, he was a Research Assistant at Federated Investment Management Co. from 2003 to 2005.
He later worked as a Principal at Monarch Partners Asset Management LLC from 2010 to 2016.
Elia received his undergraduate degree from Carnegie Mellon University in 2003.
Anciens postes connus de Paul William Elia
| Sociétés | Poste | Fin |
|---|---|---|
Chartwell Investment Partners LLC
Chartwell Investment Partners LLC Investment ManagersFinance Chartwell takes a long-term perspective with their investments, maintains focused portfolios, and strives for an increased active share of their holdings to deliver attractive investment performance. Their Equity Investment teams and strategies focus on the inherent inefficiencies available to astute, fundamentally oriented investors in small, mid, and large-cap equities. Fixed Income strategies leverage strong fundamental research capabilities to capitalize on inefficiencies in the investment grade and high yield credit space. | Analyst-Equity | 28/02/2010 |
Federated Investment Management Co.
Federated Investment Management Co. Investment ManagersFinance FIMCO offers a broad range of investment strategies, from liquidity solutions to high active share global and regional equities to active credit and private markets. Each investment team works with Responsible Investing Office personnel as they look to incorporate proprietary ESG tools and insights from our in-house engagement and stewardship team, EOS at Federated Hermes. | Analyst-Equity | 31/12/2005 |
Monarch Partners Asset Management LLC
Monarch Partners Asset Management LLC Investment ManagersFinance Monarch Partners utilizes a fundamental value investing approach to make long-only investments in Small-Cap Value Equity, SMID-Cap Value Equity and Micro-Cap Value strategies. They seek to identify undervalued companies that possess catalysts with the potential to enhance shareholder value, while avoiding value traps. The firm employs a proprietary bottom-up research process that is comprised of 90% fundamental research and 10% quantitative analysis. Monarch Partners attempts to mitigate risk through diversification, daily monitoring of portfolio exposures and the utilization of a strict sell discipline. | Analyst-Equity | - |
Formation de Paul William Elia
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| Entreprise privées | 4 |
|---|---|
Carnegie Mellon University
Carnegie Mellon University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Chartwell Investment Partners LLC
Chartwell Investment Partners LLC Investment ManagersFinance Chartwell takes a long-term perspective with their investments, maintains focused portfolios, and strives for an increased active share of their holdings to deliver attractive investment performance. Their Equity Investment teams and strategies focus on the inherent inefficiencies available to astute, fundamentally oriented investors in small, mid, and large-cap equities. Fixed Income strategies leverage strong fundamental research capabilities to capitalize on inefficiencies in the investment grade and high yield credit space. | Finance |
Federated Investment Management Co.
Federated Investment Management Co. Investment ManagersFinance FIMCO offers a broad range of investment strategies, from liquidity solutions to high active share global and regional equities to active credit and private markets. Each investment team works with Responsible Investing Office personnel as they look to incorporate proprietary ESG tools and insights from our in-house engagement and stewardship team, EOS at Federated Hermes. | Finance |
Monarch Partners Asset Management LLC
Monarch Partners Asset Management LLC Investment ManagersFinance Monarch Partners utilizes a fundamental value investing approach to make long-only investments in Small-Cap Value Equity, SMID-Cap Value Equity and Micro-Cap Value strategies. They seek to identify undervalued companies that possess catalysts with the potential to enhance shareholder value, while avoiding value traps. The firm employs a proprietary bottom-up research process that is comprised of 90% fundamental research and 10% quantitative analysis. Monarch Partners attempts to mitigate risk through diversification, daily monitoring of portfolio exposures and the utilization of a strict sell discipline. | Finance |
















