Profil
C.
Warren Skillman worked as a Senior Managing Director at The Boston Company Asset Management LLC from 2015 to 2018.
Prior to that, he worked as a Portfolio Manager at Newgate Capital Management LLC.
In 2018, he joined Mellon Investments Corp.
as a Senior Portfolio Manager until 2019.
Skillman received his undergraduate degree from Boston College and his graduate degree from London Business School.
Anciens postes connus de Warren Skillman
| Sociétés | Poste | Fin |
|---|---|---|
Mellon Investments Corp.
Mellon Investments Corp. Investment ManagersFinance Mellon Investments offers a range of alpha and beta investment strategies designed to meet each client's specific needs. Their disciplined approach is grounded in long-term economic relationships and provides an integrated view of the distinct components that comprise the global financial market. The firm's primary investment strategies include Active Equity, Active Fixed Income, Index, and Multi-Asset and Multi-Factor. | Analyst-Equity | 01/03/2019 |
The Boston Company Asset Management LLC
The Boston Company Asset Management LLC Investment ManagersFinance The Boston Company Asset Management (TBCAM) offers both traditional and alternative equity investment products that encompass a variety of US, non-US and global strategies. The firm provides investment advice for the following types of strategies: US domestic equity, balanced, non-US equity, emerging markets equity and long/short equity. Portfolios generally are composed of individual securities. TBCAM seeks consistent delivery of alpha across a broad range of investment strategies. They are committed to a value-oriented, research-driven and risk-aware investment approach. TBCAM seeks to identify attractive stocks through rigorous quantitative and fundamental analyses blended with analysis of current business momentum and places controls on sector selection and, if applicable, country selection. Short sales and similar strategies are considered part of their overall investment strategy; however, they are not used across the account base in the management of account assets. The firm may use these strategies for certain accounts consistent with the client's guidelines, objectives, and restrictions. | Analyst-Equity | 31/01/2018 |
Newgate Capital Management LLC
Newgate Capital Management LLC Investment ManagersFinance Newgate Capital Management's emerging markets portfolio seeks long-term growth of capital through investments in companies operating in emerging markets or whose shares are listed on the stock markets of such countries. The firm uses a top-down global approach to sector and industry allocation, combined with a bottom-up style of stock selection. The investment process begins with a top-down, global economic assessment to identify undervalued natural resources and commodity related sectors. Newgate uses fundamental analysis to evaluate the impact of current geopolitical and macroeconomic factors on natural resource companies worldwide. Newgate's Global Resources Portfolio seeks long-term growth of capital plus protection against inflation and monetary instability by investing in high quality companies involved in the mining, processing and transportation of natural resources of any kind. This strategy employs a top-down global economic assessment of sector and industry allocation, combined with a bottom-up style of stock selection. Newgate uses fundamental analysis to evaluate the impact of current geopolitical and macroeconomic factors on natural resource companies worldwide. Newgate uses both quantitative and fundamental analyses for security selection. A bottom-up approach focuses on a combination of relative valuation analysis and strategic business evaluation. In addition to attractive price levels, Newgate focuses on large and medium capitalization companies with dominant market share, a high degree of financial transparency and good corporate governance. The Global Fixed Income Portfolio invests in government and corporate debt on a global basis. Newgate uses a three-step discipline to identify and invest in taxable Closed-End Funds. The first is the use of top-down asset allocation which determines investment commitment and cash reserves. Then they apply a strategic fund evaluation that identifies the best performing funds and acquires the best values. Newgate's investment strategy is primarily implemented through the shares of closed-end funds (CEFs), US and foreign ETFs, open-ended mutual fund and individual issues. For global fixed-income, they invest in undervalued debt securities. | Analyst-Equity | 01/06/2005 |
Formation de Warren Skillman
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
Relations
Relations au 1er degré
Entreprises liées au 1er degré
Homme
Femme
Administrateurs
Exécutifs
Sociétés liées
| Entreprise privées | 5 |
|---|---|
The Boston Company Asset Management LLC
The Boston Company Asset Management LLC Investment ManagersFinance The Boston Company Asset Management (TBCAM) offers both traditional and alternative equity investment products that encompass a variety of US, non-US and global strategies. The firm provides investment advice for the following types of strategies: US domestic equity, balanced, non-US equity, emerging markets equity and long/short equity. Portfolios generally are composed of individual securities. TBCAM seeks consistent delivery of alpha across a broad range of investment strategies. They are committed to a value-oriented, research-driven and risk-aware investment approach. TBCAM seeks to identify attractive stocks through rigorous quantitative and fundamental analyses blended with analysis of current business momentum and places controls on sector selection and, if applicable, country selection. Short sales and similar strategies are considered part of their overall investment strategy; however, they are not used across the account base in the management of account assets. The firm may use these strategies for certain accounts consistent with the client's guidelines, objectives, and restrictions. | Finance |
Newgate Capital Management LLC
Newgate Capital Management LLC Investment ManagersFinance Newgate Capital Management's emerging markets portfolio seeks long-term growth of capital through investments in companies operating in emerging markets or whose shares are listed on the stock markets of such countries. The firm uses a top-down global approach to sector and industry allocation, combined with a bottom-up style of stock selection. The investment process begins with a top-down, global economic assessment to identify undervalued natural resources and commodity related sectors. Newgate uses fundamental analysis to evaluate the impact of current geopolitical and macroeconomic factors on natural resource companies worldwide. Newgate's Global Resources Portfolio seeks long-term growth of capital plus protection against inflation and monetary instability by investing in high quality companies involved in the mining, processing and transportation of natural resources of any kind. This strategy employs a top-down global economic assessment of sector and industry allocation, combined with a bottom-up style of stock selection. Newgate uses fundamental analysis to evaluate the impact of current geopolitical and macroeconomic factors on natural resource companies worldwide. Newgate uses both quantitative and fundamental analyses for security selection. A bottom-up approach focuses on a combination of relative valuation analysis and strategic business evaluation. In addition to attractive price levels, Newgate focuses on large and medium capitalization companies with dominant market share, a high degree of financial transparency and good corporate governance. The Global Fixed Income Portfolio invests in government and corporate debt on a global basis. Newgate uses a three-step discipline to identify and invest in taxable Closed-End Funds. The first is the use of top-down asset allocation which determines investment commitment and cash reserves. Then they apply a strategic fund evaluation that identifies the best performing funds and acquires the best values. Newgate's investment strategy is primarily implemented through the shares of closed-end funds (CEFs), US and foreign ETFs, open-ended mutual fund and individual issues. For global fixed-income, they invest in undervalued debt securities. | Finance |
Mellon Investments Corp.
Mellon Investments Corp. Investment ManagersFinance Mellon Investments offers a range of alpha and beta investment strategies designed to meet each client's specific needs. Their disciplined approach is grounded in long-term economic relationships and provides an integrated view of the distinct components that comprise the global financial market. The firm's primary investment strategies include Active Equity, Active Fixed Income, Index, and Multi-Asset and Multi-Factor. | Finance |
Boston College
Boston College Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
London Business School
London Business School Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
















