Profil
Prior to joining the firm in 2003, Mr. O'Donnell was a Vice President at Loomis, Sayles & Company.
He began his investment career as a Vice President and Trust Officer with The Shawmut Bank of Boston N.A. and its investment subsidiary, One Federal Asset Management.
He is a Director of The Massachusetts Public Pension Forum and associate member of The Massachusetts Association of Contributory Retirement Systems.
Additionally, Mr. O'Donnell is a member of the Advisory Board of The Shaughnessy Family Center at Labouré.
Mr. O'Donnell has a BS from the University of Massachusetts.
Anciens postes connus de Thomas J. O'Donnell
| Sociétés | Poste | Fin |
|---|---|---|
Congress Asset Management Co. LLP
Congress Asset Management Co. LLP Investment ManagersFinance Congress Asset is a boutique asset manager focused on high quality equity and fixed income investing with a specialty in growth equities. The firm constructs high quality, high conviction, and high active share portfolios managed through a risk lens. They accomplish this through a disciplined, low turnover approach which emphasizes growth, profitability, franchise, and valuation. Congress Asset seeks to invest in companies with positive earnings growth, strong revenues, positive free cash flow, and sustainable margins, who demonstrate prudent use of leverage with shareholder conscious management teams. Their investment philosophy is to evaluate potential return per unit of risk using fundamental and relative valuations that employ a combination of top down and bottom-up techniques to deliver a consistent pattern of relative returns with minimal periods of underperformance. | Gestionnaire de Portefeuille-Actions | 01/11/2007 |
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Sociétés liées
| Entreprise privées | 1 |
|---|---|
Congress Asset Management Co. LLP
Congress Asset Management Co. LLP Investment ManagersFinance Congress Asset is a boutique asset manager focused on high quality equity and fixed income investing with a specialty in growth equities. The firm constructs high quality, high conviction, and high active share portfolios managed through a risk lens. They accomplish this through a disciplined, low turnover approach which emphasizes growth, profitability, franchise, and valuation. Congress Asset seeks to invest in companies with positive earnings growth, strong revenues, positive free cash flow, and sustainable margins, who demonstrate prudent use of leverage with shareholder conscious management teams. Their investment philosophy is to evaluate potential return per unit of risk using fundamental and relative valuations that employ a combination of top down and bottom-up techniques to deliver a consistent pattern of relative returns with minimal periods of underperformance. | Finance |
















