Profil
Mr. Ross Schubak is a Portfolio Manager at Weiss Multi-Strategy Advisers LLC.
Mr. Schubak joined the firm in 2016.
He was a Consumer Sector Head and Portfolio Manager at Cadian Capital Management LLC, a long-short hedge fund, from 2013-2016.
Prior to that Mr. Schubak was an Analyst and Sector Head for the Consumer Retail strategy at Weiss for 5 years.
Other relevant experience includes working as a Consumer Analyst at Diamondback Capital, and in the investment banking group at Deutsche Bank in the global consumer sector.
Mr. Schubak graduated from the school of business with a BBA in Finance from Emory University.
Anciens postes connus de Ross Schubak
| Sociétés | Poste | Fin |
|---|---|---|
Weiss Multi-Strategy Advisers LLC
Weiss Multi-Strategy Advisers LLC Investment ManagersFinance Weiss Multi-Strategy Advisers seeks to produce returns over the long-term with moderate volatility and a low correlation to the familiar market cycle of relevant indices. They generally employ a multi-strategy approach and a number of distinct and well-differentiated investment strategies for each client in an effort to achieve its desired performance. The strategies used by the firm generally fall within three categories: equity, credit and macro. | Gestionnaire de Portefeuille-Actions | 01/04/2019 |
Cadian Capital Management LP
Cadian Capital Management LP Investment ManagersFinance Cadian Capital manages funds which seek long-term capital appreciation from investments in equity securities of companies in the global telecommunications, media and technology sectors as well as in consumer, healthcare, industrials, financial services and technology and other related sectors. To implement the above strategy, the firm focuses on fundamental stock research and selection through a disciplined upside/downside analysis. They take a value-oriented approach to the sectors in which the funds invest, drawing upon the deep sector experience of their personnel across geographies and asset classes. Cadian Capital focuses on seeking to minimize market and other systemic risks to the funds’ portfolios. The firm aims conservative net beta exposure through alpha generative long and short positions. | Analyst-Equity | - |
Weiss Multi-Strategy Advisers LLC
Weiss Multi-Strategy Advisers LLC Investment ManagersFinance Weiss Multi-Strategy Advisers seeks to produce returns over the long-term with moderate volatility and a low correlation to the familiar market cycle of relevant indices. They generally employ a multi-strategy approach and a number of distinct and well-differentiated investment strategies for each client in an effort to achieve its desired performance. The strategies used by the firm generally fall within three categories: equity, credit and macro. | Analyst-Equity | - |
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| Entreprise privées | 2 |
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Weiss Multi-Strategy Advisers LLC
Weiss Multi-Strategy Advisers LLC Investment ManagersFinance Weiss Multi-Strategy Advisers seeks to produce returns over the long-term with moderate volatility and a low correlation to the familiar market cycle of relevant indices. They generally employ a multi-strategy approach and a number of distinct and well-differentiated investment strategies for each client in an effort to achieve its desired performance. The strategies used by the firm generally fall within three categories: equity, credit and macro. | Finance |
Cadian Capital Management LP
Cadian Capital Management LP Investment ManagersFinance Cadian Capital manages funds which seek long-term capital appreciation from investments in equity securities of companies in the global telecommunications, media and technology sectors as well as in consumer, healthcare, industrials, financial services and technology and other related sectors. To implement the above strategy, the firm focuses on fundamental stock research and selection through a disciplined upside/downside analysis. They take a value-oriented approach to the sectors in which the funds invest, drawing upon the deep sector experience of their personnel across geographies and asset classes. Cadian Capital focuses on seeking to minimize market and other systemic risks to the funds’ portfolios. The firm aims conservative net beta exposure through alpha generative long and short positions. | Finance |
















