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HedgeWorld Midwest 2014
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  HedgeWorld Midwest 2014



SPEAKING OPPORTUNITIES

For more information on speaking opportunities at PartnerConnect 2014 contact:
Mark Cecil | Tel: +1-617-856-1871 | Email: mark.cecil@thomsonreuters.com

The Speakers

 A    B    C    D    E    F    G    H    I    J    K    L    M    N    O    P    Q    R    S    T    U    V    W    X    Y    Z   --  ALL  

Peter Algert   |  William Atwood   |  Bruce Aulie   |  Bart Chilton   |  Chris Clair   |  Chris Clair   |  Jean-Francois "Jeff" Collard   |  John Cummings   |  Thomas Deinet   |  Nicholas Delgado   |  Bill Douglass   |  Brian Duff   |  Lincoln Ellis   |  Jay Feuerstein   |  Eric Gorman   |  Mark Guinney   |  Rob Guttschow   |  Brian Haskin   |  William Heard   |  Eric Scott Hunsader   |  Ernest Jaffarian   |  Thomas Kim   |  Julian Knight   |  Alan Lenahan   |  Tony Lissuzzo   |  Chris McGuire   |  Mark Melin   |  Rachel Minard   |  Bruce Mumford   |  Tom Murray   |  K.C. Nelson   |  Patrick E. OíHern   |  Andrew Parrillo   |  Tom Polansek   |  Dan Raab   |  David Richter   |  Tom Ricketts   |  Julian Rundle   |  Robert Sanborn   |  Andres Sandate   |  Sa'ad Shah   |  Justin Sheperd   |  Mark Shore   |  Gary Shugrue   |  Sharon Snow   |  Bill Speth   |  Constance Teska   |  Kay Torshen   |  Jay Tubianosa   |  Wrug Ved   |  Richard Vigilante   |  Steve Vogt   |  Joe Wade   |  Scot Warren   |  Becky Yerak   |  Peter Zaldivar   |  Leah Zell   |  Brian Ziv

 
Peter Algert, Founder and CIO, Algert Global

Peter Algert oversees the investment team at ACI and serves as both CIO and CEO. Prior to founding the firm in 2002, he was a Managing Director at Barclays Global Investors and served as the Global Head of Research for their stock selection strategies. Before moving to BGI Mr.Algert was a Director at KMV where he worked in the areas empirical modeling and management of credit risk. He holds a PhD from UC Berkeleyís Haas School with a concentration in Finance and has served as an assistant professor at UC Davis as well as a visiting scholar at the Securities and Exchange Commission.

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William Atwood, Executive Director, Illinois State Board of Investment

William Atwood has served as Executive Director of the Illinois State Board of Investment (ISBI) since March of 2003. ISBI is responsible for investing assets totaling approximately $12.5 billion for the State Employeesí Retirement System of Illinois, Judgesí Retirement System of Illinois, and General Assembly Retirement System of Illinois. Since joining ISBI, Mr.Atwood has managed the restructuring of its investment portfolio, established an emerging manager program, initiated the utilization of a general consultant, expanded the portfolioís exposure to alternative investments, increased the Boardís shareholder activism, and made improvements to the State of Illinoisí Deferred Compensation Plan.

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Bruce Aulie, Director of Manager Selection, Efficient Capital Management, LLC

Bruce Aulie is partner and director of manager selection for Efficient Capital Management, LLC. Prior to joining Efficient Bruce was the director of a not for profit organization in Spain. His career in alternative investments began in 1980 at the Chicago Board of Trade with Agra Trading and continued with Chicago Research and Trading. He holds a BA in Physics from Gordon College, Wenham, MA. an MDIV from Columbia International University, and a certificate in Hispanic Studies from the Complutense of Madrid, Spain.

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Bart Chilton, Commissioner, US Commodity Futures Trading Commission

With a government service career spanning 30 years, Commissioner Bart Chilton, in March of 2014, left the US Commodity Futures Trading Commission to become a Senior policy Advisor at DLA Piper, the world's largest law firm.

He's been called the "most colorful regulator in history" and is highly experienced in financial services. He's known for barnstorming speeches tinged with cultural and musical references. Heís a frequently quoted opinion leader, appearing on television and editorial pages, and is the author of Ponzimonium: How Scam Artists Are Ripping off America. He's currently working on a second book: Theft, about the intersection between Wall Street and Washington.

Mr. Chilton came to the CFTC in 2007 following his nomination by President Bush and Senate confirmation. In 2009, he was re-nominated by President Obama and reconfirmed. He's served as the Chairman of the CFTCís Energy and Environmental Markets Advisory Committee (EEMAC), and Global Markets Advisory Committee (GMAC). Commissioner Chilton has the rare trifecta of working in the House of Representatives, Senate and Executive Branch (during the Clinton, Bush and Obama Administrations), serving as Deputy Chief of Staff to Clinton Agriculture Secretary Dan Glickman and as Senior Advisor to Senate Leader Tom Daschle.

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Chris Clair, Managing Editor, Reuters HedgeWorld

Chris Clair is the Managing Editor of HedgeWorld. He has spent the past eleven years covering the hedge fund industry, first as a reporter for Crain's Pensions & Investments and for the past eight years at HedgeWorld. Mr. Clair has been a journalist for the past 18 years, working at weekly and daily newspapers in his home state of Oregon and in Illinois.

Mr. Clair holds a BA degree in journalism from the University of Portland in Oregon.

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Chris Clair, Managing Editor, Reuters HedgeWorld

Bio to come...

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Jean-Francois "Jeff" Collard, Head of Research and Risk Manager, Pulse Capital Partners, LLC

Bio to come..

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John Cummings, Investment Research Manager , Attain Capital Management

John Cummings is the Director of Research for Attain Portfolio Advisors. Attain Portfolio Advisors (ďAttainĒ) is a registered commodity pool operator and commodity trading advisor, and is the fund management arm of Attain Capital Management (www.AttainCapital.com), a registered commodity brokerage firm recently awarded the CTA Intelligence Best Introducing Broker Award, which has been helping investors identify and access top managed futures programs since 2002. The firm currently allocates to 30+ managers with combined assets over $6 Billion (purposely avoiding the $1 Billion and over managers).

With Attain since its founding in 2002, Mr.Cummings is responsible for sourcing CTAs from across the globe and leading Attainís due diligence efforts. Mr.Cummings holds an MBA, the Chartered Alternative Investment Association (CAIA) designation and has a background which includes executing trades for a $50mm CTA and operating automated trading models, giving him unique insight into how a managerís trades translate into a defined strategy and edge.

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Thomas Deinet, Executive Director, Hedge Fund Standards Board

Thomas Deinet was appointed Executive Director of the Hedge Fund Standards Board (HFSB) in September 2008. In 2007, Mr. Deinet joined the working group to project manage the development of practice standards proposed by 14 leading international hedge fund managers that led to the establishment of the HFSB.

Prior to joining the HFSB, he was a senior manager at Oliver Wyman, where he extensively worked with major financial institutions in Europe covering asset management as well as corporate and investment banking. Mr. Deinet also worked as an analyst in energy trading for a major commodities trading firm.

Mr. Deinet is a graduate of the University of Karlsruhe, Germany, with a major in industrial engineering and holds an MSc from Purdue University, USA. Thomas is a CFA charterholder.

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Nicholas Delgado, Principal, Dignitas

Bio to come..

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Bill Douglass, Principal, Gotham Communications LLC

Bill Douglass is Founder and Principal of Gotham Communications, LLC (www.gothamcomm.com), a boutique communications agency that provides message development, branding, marketing collateral, public relations, and social media services for asset management firms, including hedge funds, venture capital firms and others. Founded in early 2010, Gotham Communications represents a variety of such clients in Europe, the US and Latin America.

Gotham Communications helps asset management firms to develop investor and allocator-focused communications and branding strategies and messaging, to tell their story more effectively and distinguish them from their competitors, and uses public relations, strategically-targeted conference speaking engagements, and social media to build and strengthen a unique, branded identity and to raise awareness of a firmís unique attributes and strengths.

Mr. Douglass has a global perspective, having worked in or otherwise traveled to over 60 countries. An award-winning writer, he has been published in The Economist and elsewhere.

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Brian Duff, Head of U.S. Sales, ABN-AMRO Clearing Chicago LLC

Brian Duff is Head of U.S. Sales for ABN AMRO Clearing Chicago LLC (AACC). Part of the global clearing business of ABN AMRO Clearing Bank NV, AACC is a U.S. entity and is the headquarters for the Americas Clearing business. The ABN AMRO Clearing business is a global clearing enterprise with 11 offices located around the world including multiple offices in Asia, Europe, and North America. AACC is a registered broker-dealer and futures commission merchant that provides client clearing access to over 80 exchanges worldwide, via direct memberships, affiliates, and/or third party clearing firms.

Mr. Duff joined AACC in August of 2012. Prior to joining the Company, Mr. Duff held senior roles with a number of leading Global Investment Banks and Global Clearing Firms. Mr. Duff has worked closely for many years with leading and emerging CTAís and their investors in supporting their brokerage needs as well as serving as a well-respected industry resource

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Lincoln Ellis, Managing Director, Greensquare Capital

Lincoln is Managing Director and a Senior Strategist at Green Square Capital, a multi-family office and registered investment advisor serving ultra-high net worth entrepreneurs throughout the U.S.

Prior to joining Green Square in 2013, he held positions at Morgan Stanleyís Private Wealth Management covering ultra high net worth families and family offices. Prior to joining Morgan Stanley, Mr.Ellis founded Columbia Universityís Columbia International Affairs Online; one of the first and largest databases in politics and economics on the web.He also started two hedge fund businesses and Astor Janssen Holdings, a consulting company. Mr.Ellis is recognized for a unique outlook that combines the rational science of economics and the irrational art of market investing. He has appeared on CNBC, Bloomberg TV, Fox Business, CNN, SKY News, BBC, NPR's Market Place Morning Report and is a frequent contributor to the CME's daily market commentary operation. He is one of the original contributors to Nouriel Roubiniís Economonitor, where he occasionally blogs. Mr.Ellis received his Bachelor of Arts in Political Science from Valparaiso University and his Masters of Art in Politics from the Graduate Faculty at the New School in New York City.

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Jay Feuerstein, CEO & CIO, 2100 Xenon Group, LLC

Jay Feuerstein is the Chief Executive Officer and Chief Investment Officer of 2100 Xenon. He founded the firm in May, 2001. He is responsible for managing the futures portfolio and directing futures research. Mr. Feuerstein began his investment career in 1980 as one of the earliest traders and arbitrageurs of the financial futures complex. Prior to founding 2100 Xenon, he was a Managing Director and Principal at Bear Stearns & Co. Inc. Prior to Bear Stearns, he was a Senior Vice President for Paine Webber, where he was responsible for national futures sales. Mr. Feuerstein also was Director of Global Futures Sales and Marketing for Fixed Income at Kidder Peabody in the 1990s and was a First Vice President of Drexel Burnham Lambert, where he established and ran the futures trading desk in the 1980s. Mr. Feuerstein has published works in The Journal of Futures Markets, Corporate Finance Review, cnbc.com, and numerous other publications. In addition, he is a frequent guest on CNBC and has spoken at events sponsored by such institutions as the Chicago Mercantile Exchange, the Chicago Board Options Exchange and The University of Chicago. Mr. Feuerstein earned his MBA in finance from the University of Chicago, and his B.S. from the University of Illinois.

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Eric Gorman, Manager, Alternative Investments Research, The Private Client Reserve at U.S. Bank

Eric Gorman is the Manager of Alternative Investments Research for U.S. Bank Wealth Management, and is responsible for directing all aspects of Alternative Investment research and Fund Manager selection. This includes all due diligence, strategy research, idea generation, data management, and client-facing research output across the hedge fund, private equity, natural resource, and the liquid alternatives spaces.

The last 10+ years of Mr. Gormanís career has solely focused on Alternative Investments. Prior to joining U.S. Bank Wealth Management in 2007, Eric worked for Slocum, an institutional investment consulting firm, as a Research Associate for its Alternative Investments Research Team. Additionally, he has spoken at a number of events focusing on a wide range of topics within the Alternatives space.

Mr. Gorman has been successful in growing the Bankís Private Client assets in Alternativeís from less than $200 million, when he joined, to over $2.5 billion today. Given the Bankís expansive and differentiated client set, this growth has included a wide and growing spectrum of product solutions, inclusive of both strategic and opportunistic strategies. In addition to private vehicles such as hedge funds and private equity, the Team has also been at the forefront of evaluation and adoption of Registered ďLiquid AlternativeĒ strategies. The comprehensive review of such a large universe of solutions is a great competitive advantage, allowing for a more complete and relative viewpoint when assessing and understanding each new opportunity.

Mr.Gorman earned bachelorís degrees in Economics and Management from the University of Minnesota-Morris.

Mr.Gorman, his wife, Megan, and their three children live in Maple Grove, Minnesota.

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Mark Guinney, Managing Partner, The Presidio Group

Bio to come...

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Rob Guttschow, Senior Portfolio Manager, co-head of Alternatives, First Trust Advisors

Mr. Guttschow, CFA, is a senior portfolio manager and co-head of the Alternatives Investment Team at First Trust Advisors. Mr. Guttschow has 20+ years of investment experience managing a variety of strategies including equity, fixed income, commodities, and derivative-based strategies.

Prior to joining First Trust in July 2011, Mr. Guttschow was Co-Chief Investment Officer at Nuveen HydePark Group LLC where he started in 2007. While at Nuveen HydePark Group LLC, Mr. Guttschow co-directed investment activities including research, product development,trading, portfolio management, and performance attribution. Previously, Mr. Guttschow was an Overlay Manager and Senior Portfolio Manager at Nuveen Asset Management, where he developed Nuveenís buy-side derivative desk for fixed income and equity portfolio hedging. Mr. Guttschow was responsible for developing and implementing derivative-based hedging strategies for 9 portfolio managers with $50+ billion in assets under management.

Mr. Guttschow started his career at Lotsoff Capital Management where, at the time of his departure, he was a Partner and Managing Director. At Lotsoff Capital Management, Mr. Guttschow managed approximately $1.5 billion in a various fixed income and equity-based strategies.

Mr. Guttschow received a B.S. in Materials Engineering (Ceramics) and a Masters of Business Administration from the University of Illinois at Champaign/Urbana in 1991 and 1993, respectively. Mr. Guttschow holds the Chartered Financial Analysis designation and is a member of the CFA Institute and the CFA Society of Chicago.

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Brian Haskin, Founder and CEO, Alternative Strategy Partners

Bio to come..

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William Heard, CEO, CIO, Founder, Heard Capital

William Heard is Chief Executive Officer, Chief Investment Officer and Founder of Heard Capital LLC. Mr. Heard is a graduate of the Marquette University College of Business Administration with degrees in both Finance and Real Estate. Prior to starting Heard Capital LLC, Mr. Heard was a Special Situations Analyst for Stark Investments, a global alternative investment firm. Mr. Heardís investment experience varies across the capital structure to include leveraged loans, high yield bonds and equity securities. While at Stark Investments, Mr. Heard covered the telecommunications, media, technology, financials, industrials, and energy sectors.

Mr. Heard founded and established the Applied Investment Management (AIM) Program at Marquette University. AIM was the first undergraduate business program in the nation to be selected as a Program Partner by the CFA Institute. A strong proponent of higher education, Mr. Heard gives motivational speeches to high school and college students about leadership, globalism, and the nature of competition. In his spare time, Mr. Heard enjoys mentoring youth and reading autobiographies.

Mr. Heard currently serves on the Leadership Council for A Better Chicago as well as actively participates in OneGoal; local organizations creating opportunities for todayís youth and low-income population.

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Eric Scott Hunsader, Founder, Nanex

Bio to come..

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Ernest Jaffarian, CEO & CIO, Efficient Capital Management, LLC

Ernest L. Jaffarian is the Founder, and Chief Executive Officer of Efficient Capital Management, LLC. He is a veteran of over 25 years within the alternative investment industry in the areas of trading, portfolio construction, and risk management. In 1986 he joined Chicago Research & Trading Inc. (CRT) as a member of the proprietary trading group on the floor of the Chicago Board Options Exchange and rose to position of Senior Vice President for OTC Treasury Options. Immediately prior to founding Efficient, Jaffarian was responsible for the managed futures department of Hull Equity Management, LLC and for the allocation of Hull Trading Company, LLCís proprietary capital among trading advisors. Jaffarian is a CAIAģ designee and the author of A Survey of the Managed Futures Industry (2007) and the chapter on Managed Futures in CAIA Level II: Advanced Core Topics in Alternative Investments (Wiley & Sons, 2009). Jaffarian is currently on the Board of Directors of the National Futures Association.

Efficient Capital Management, LLC (Efficient) was founded in 1999 by leaders from within the industryís preeminent trading organizations including CRT, Hull Trading, Saliba Partners, and Phillip Securities, Efficient is dedicated to maximizing the unique benefits of cash-efficient ďalphaĒ strategies for the institutional investor. Efficient presently allocates assets for a variety of global private bank, insurance company, funds of funds and private investor clients. It seeks and invests with more than 40 independent trading firms from 8 countries and 4 continents delivering broad diversification in more than 200 markets. Trading is limited to highly liquid and cash-efficient CFTC approved listed futures and options on futures contracts and generic interbank foreign exchange focused on non-directional sources of alpha returns. The market exposures capitalize on opportunities in currencies, interest rates, stock indices, energy, base and precious metals, and commodities. With a staff of over 25, Efficientís significant infrastructure is dedicated to exceeding the most rigorous demands of institutional investors. Available investment structures include private managed accounts and fund structures offering varying levels of capital funding efficiencies.

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Thomas Kim, Co-Chief Investment Officer, Mansur & Company

Thomas Kim is the Co-Chief Investment Officer at Mansur & Company, a boutique asset management firm specializing in private equity, hedge fund, and real estate investments. Mr. Kim manages both active trading positions and passive allocations to external funds within the firmís multi-strategy portfolio. In the past, Mr. Kim has held research and trading roles at Bear Stearns, Xenon Capital, and Motorola. He holds a Ph.D. from the University of Chicago and a B.S. in Chemical Engineering from Cornell University.

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Julian Knight, Director, Societe Generale

Bio to come..

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Alan Lenahan, ‎Managing Principal and Director of Hedged Strategies, Fund Evaluation Group

Mr.Lenahan is Director of Hedged Strategies at Fund Evaluation Group. FEG is an institutional investment consultant with over $40 billion in assets under advisement located in Cincinnati Ohio. Mr.Lenahan is a portfolio manager for FEGís suite of hedge fund of funds and liquid alternatives portfolios. Mr.Lenahan has focused on research across the spectrum of hedge fund and other non traditional investment structures for over a decade. His responsibilities include hedge fund and liquid alternative manager sourcing and selection, strategy research, portfolio construction, and client education. Mr.Lenahan also works in a consulting capacity with clients that have an alternative only or alternative research focused mandate. Mr.Lenahan joined FEG in 2002. Prior experience includes investment manager acquisition analysis and portfolio company analysis for The Western and Southern Life Insurance Co. From 1997 to 2000, Mr.Lenahan was a Senior Associate in the Valuation Services practice at Arthur Andersen. He received a BSBA from Xavier University in Finance and Marketing and has been a CFA chartholder since 2002. He is a member of the investment committee for 4C for Children, a Cincinnati based non-profit focusing on early childhood education, and is an Executive Advisor for the Xavier University finance department. In 2007, Mr.Lenahan was named one of the 20 Rising Stars in Hedge Funds by Institutional Investor News.

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Tony Lissuzzo, Sr. Vice President, Director of Hedge Fund Research, Northern Trust

Tony Lissuzzo is Director of Hedge Fund Research responsible for manager selection and monitoring. Prior to Joining Northern Trust Mr. Lissuzzo was the Portfolio Manager at Lakeview Investment Manager responsible for all aspects of manager research and portfolio construction.Mr. Lissuzzo was previously Head of New Investments for Man Investmentsí global multi manager business.At Man Mr. Lissuzzo led a global team responsible for all aspects of due diligence for new hedge fund investments.His primary focus on this team was defining the research process.He began his career at D.E. Shaw as a options trader and portfolio manager, and subsequently held positions at Bank One and Sirius Partners.He holds a Masters in Business Administration from The University of Chicago Booth School of Business,and a Bachelor of Science from the University of Wisconsin in Economics.Mr. Lissuzzo is a Chartered Financial Analyst and a member of the CFA Institute.

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Chris McGuire, CEO, CIO, Phalanx Capital Management

Christopher founded Phalanx in 2005 after an extensive trading and sales career. Prior to Phalanx, Mr.McGuire managed the Japanese multi-strategy portfolio for Daiwa Securities America, the Japanese and Asian relative value trading book for the Spear, Leeds, and Kellogg division of Goldman Sachs, and the Japanese convertible bond portfolio for Marin Capital.

Before moving to the trading side of the business,Mr.McGuire managed CB and derivatives sales to hedge funds for Merrill Lynch London and SBC Warburgís Tokyo convertible bond desk. Mr.McGuire began his career trading commodity options for his own account on the floor of the Chicago Board of Trade.

Mr.McGuire graduated with a Bachelor of Arts in Communications from Marquette University in 1991.

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Mark Melin, Writer, ValueWalk.com

Mark Melin was an adjunct instructor in managed futures at Northwestern University / Chicago and has written or edited three books, including High Performance Managed Futures (Wiley 2010) and The Chicago Board of Tradeís Handbook of Futures and Options (McGraw-Hill 2008). Mr.Melin worked as a Commodity Trading Advisor himself, trading a short volatility options portfolio across the yield curve, and worked with various future commission merchants, broker dealers and futures exchanges, including OneChicago, the single stock futures exchange, and the Chicago Board of Trade. He currently covers hedge funds and alternative investing strategy for the financial website ValueWalk.com.

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Rachel Minard, Founder and CEO, Minard Capital LLC

Rachel Minard is the Founder and CEO of Minard Capital LLC, a global institutional marketing intelligence and asset raising firm based in San Francisco and New York City. Before building Minard Capital, Rachel built and managed global institutional investment businesses for twenty years, including twelve years building fund of hedge fund firms, notably Cadogan Management and Corbin Capital Partners. Raising over $10 billion in the course of her career, Rachel started her marketing career in 1991 after her first company was hired to build the Ronald Reagan Presidential Library. Rachel holds a B.A. in journalism with honors from Northeastern University with notable distinction as a Wesley W. Marple Distinguished Lecturer by the university. She serves on several-high profile advisory boards, has won numerous industry awards for institutional marketing and is a member of the Investment Sub-Committee of the Westover School Endowment. She is also a frequent keynote at industry conferences including appearances on NPR, TEDsf and CNBC. Her first book, Speaking in Thumbs: The Handbook of Empathy is due next Fall 2013.

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Bruce Mumford, Partners, Emerging Edge Group LLC

Bruce Mumford is a partner and serves as Director of the Advisory Board for Emerging Edge Group, a firm that helps develop early-stage alternative investment managers. He has over thirty years of investment management and investment banking experience, and has raised approximately $5 billion in capital through private and public placement of equity and debt. Prior to joining Emerging Edge Group, Mr.Mumford was a Partner and the Global Head of Marketing/Investor Relations for 2100 Xenon Group. From 2004 through 2010, Mr.Mumford was Managing Partner of Mumford Capital Partners, a financial services consulting and advisory firm specializing in providing investment banking and capital raising services for private equity firms, broker dealers , hedge funds and proprietary trading firms. Prior to the formation of Mumford Capital Partners, Mr.Mumford was the President and CEO of ABN AMRO, Inc., the U.S. broker dealer of ABN AMRO Bank N.V., and Executive Vice President of ABN AMRO Clearing and Execution Services. He earned his MBA from Harvard Business School, and his B.S. in Industrial and Operations Engineering from the University of Michigan.

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Tom Murray, Managing Director, Arden Asset Management LLC

Mr. Murray is Head of Sales and leads the Portfolio Solutions effort at Arden. In this role, Mr. Murray works closely with Arden's Investment Committee to develop customized portfolios. In addition, he interacts regularly with Arden's Sales team for prospect, client and consultant meetings, as well as industry events. Prior to joining Arden, Mr. Murray was a Partner, Investment Committee member and Head of Portfolio Management at EIM USA. Prior to his tenure at EIM USA, he was a Portfolio Manager and Investment Committee member at Parker Global Strategies, a customized fund of hedge funds firm, and Vice President in Citigroup's Fund of Hedge Funds division. Earlier in his career, Mr. Murray worked at Alliance Capital Management and Salomon Brothers. Mr. Murray holds a B.S. degree in Accounting from Manhattan College.

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K.C. Nelson, Portfolio Manager, Managing Director , Driehaus Capital Management

K.C. Nelson is the portfolio manager of the Driehaus long/short credit and event driven strategies. As portfolio manager, he oversees approximately $6.2 billion (as of 3/31/2014) in assets under management across the Driehaus Active Income Fund (LCMAX), the Driehaus Select Credit Fund (DRSLX), and the Driehaus Event Driven Fund (DEVDX). Within these strategies, he is responsible for implementing a multi-strategy approach to the credit markets with an emphasis on achieving absolute returns with limited volatility. Mr. Nelson has been quoted in numerous financial publications, including The Wall Street Journal and Bloomberg, and has appeared as a guest contributor on CNBC. In addition to his role as portfolio manager, Mr. Nelson serves on the firmís management committee.

Prior to joining Driehaus Capital Management in 2009, Mr. Nelson was a senior portfolio manager at Lotsoff Capital Management. While at Lotsoff, he managed a credit arbitrage hedge fund and a mutual fund. Mr. Nelson has also held assistant portfolio manager and analyst positions at Akela Capital, Andersen Corporate Finance LLC and J.C. Bradford & Co. He received his B.A. in economics from Vanderbilt University and an MBA from Duke Universityís Fuqua School of Business, where he was a Keller Scholar.

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Patrick E. OíHern, Managing Partner, Co-Founder, Sugar Creek Investment Management

Prior to joining the Meech Lake General Partner, LLC as Portfolio Manager, and co-founding Sugar Creek Investment Management, a Commodity Trading Advisor (CTA), Patrick E. OíHern held the position of Senior Analyst in the Funds Group at FourWinds Capital Management in Boston, Massachusetts. His primary responsibilities consisted of agriculture and commodity manager selection, and qualitative due diligence with a focus on agriculture market, strategy, and portfolio analysis. His time allocation was split between two funds, with one fund consisting of purely agriculture traders in managed accounts. The second fund was a broad diversified commodity fund. The two funds held a steady allocation in excess of $250M of trading capital across discretionary agriculture trading specialists. 


Prior to joining FourWinds, Mr.OíHern spent his career in trading and brokerage on the floor of the Chicago Mercantile Exchange (CME), where he traded in the livestock and dairy pits. Patrickís experiences from his trading and brokerage activities in the Chicago futures markets has been an essential factor in his ability to provide critical agriculture based investment recommendations which have resulted in profitable performance during his tenure in commodity asset management.

Mr.OíHern became interested in commodity futures trading shortly after he enrolled at Western Illinois University. At Western Illinois, Patrick was introduced to Peter Steidlmayerís Market Profileģ by Dr. Thomas P. Drinka, the only professor in the U.S. teaching an academic course on the technical indicator. Later on after receiving an Agriculture Business degree from W.I.U., Patrick got his start in the futures industry working on the trading floor for Mr. Jack Schulte, a successful long time CME member and trader.

Mr.OíHern ís deep understanding of agriculture production began at an early age, as he grew up and worked on a commercial grain and cattle farm in Vermont, IL. Patrick is an active participant in the farms' business activities, and production practices which include farm and ranch land across Illinois, Missouri, & Louisiana. The familyís main business is managing a cow/ calf operation, and feeding beef cattle. The name "Sugar Creek" has special meaning to Patrick and his family, as it is the waterway that runs through their home place in western Illinois.

Published work: Author of the Agriculture Trading Chapter in RiskBooks Commodity Investing & Trading http://riskbooks.com/commodity-investing-and-trading

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Andrew Parrillo, President, Newport Capital Advisers, inc.

Andrew Parrillo founded Newport Capital Advisers, Inc. in 1995 as a registered investment adviser to provide discretionary, chief investment officer and consultative investment services to endowment funds and family offices. The firmís primary activity is research of all asset categories and investment managers that it can apply to implement tailored investment strategies for its clients. Hedge funds have been a significant allocation in client portfolios since 1995. Although the firm has engaged strategies from firms of all sizes, it has been especially interested in engaging firms in their early stages and those particularly mindful of the risks of asset and personnel growth.

Mr. Parrillo regularly speaks about investment manager selection at various national investment conferences. Early in his investment career he managed the Trust Investment Divisionís Retirement Investment Department and was a member of the Investment Policy Committee at Fleet National Bank. Before founding Newport Capital Advisers he was a Senior Vice President of Wellesley Group, Inc. where he advised endowment funds and family offices on asset allocation and investment manager selection.

He is a graduate of Boston University and served as a U.S. Air Force Captain and Senior Navigator.

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Tom Polansek, Reporter, Thomson Reuters

Bio to come..

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Dan Raab, Managing Director, Head of Indices & Managed Futures, ETF Securities LLC

Mr. Raab is the founder of ETF Securities Managed Futures, launched in April 2014 with a focus on commodity index management. With over 25 years of futures experience, Mr. Raab was the co-creator of the Dow Jones Ė UBS Commodity IndexSM, one of the worldís most recognized benchmarks for commodities as an asset class.

Mr. Raab has held senior level positions in futures index and trading strategy design at firms including UBS, Credit Suisse, AIG, and Citibank. In addition to designing strategies, Mr. Raab has had extensive experience in managing trading risk, and has overseen multibillion dollar commodity positions.

Along with futures market experience, Mr. Raab has also developed and implemented trading strategies involving physical commodities. The combination of futures and physical market experience has given him unique insight into the mechanics and behaviour of the commodity markets, which plays a key role in Mr. Raabís design of commodity indices and trading strategies.

Mr. Raab holds an MBA in Finance from Columbia University Graduate School of Business, and a BA in History from Columbia College.

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David Richter, Chairman, Public Markets Investment Committee, Grosvenor Capital Management

Mr. Richter has been affiliated with Grosvenor since 1994 and has been a senior member of the Investments Department since 2003. Today, Mr. Richter is Chair of the Firmís Investment Committee, Director of Investments, and Head of Manager Research. Mr. Richter is also a member of the Direct Opportunities Investment Committee. Mr. Richter approves portfolio allocations and shares responsibility for the evaluation, selection, and monitoring of various investment strategies and investment managers. Prior to joining Grosvenor, from 1994 through 2002, he was the Founder and Managing Partner of Chicago-based Waveland Capital Management, L.P., a U.S. long/short equity hedge fund. From 1988 to 1994, Mr. Richter was a Vice President of JMB Realty Corporation in the Corporate Acquisitions Group. Prior to 1988, Mr. Richter was a Manager of KPMG Peat Marwick. He graduated summa cum laude with his Bachelor of Science in Accountancy from the University of Illinois in 1983. Mr. Richter is a Certified Public Accountant and received the national AICPA Elijah Watt Sells Award from the American Institute of CPAís for his scores on the Uniform CPA Examination.

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Tom Ricketts, Chairman, Incapital, Owner, Chicago Cubs

Tom Ricketts is the Chairman of the Chicago Cubs and a lifelong fan of the team. In 2009, he led his familyís acquisition of the team from the Tribune Co. When Mr.Ricketts and his family were introduced as the new owners of the Chicago Cubs, he outlined three goals for the organization: win the World Series; preserve and improve Wrigley Field for future generations; and to be good neighbors, giving back to the city and neighborhood.

Together with their sister Laura and brother Todd, the Ricketts siblings serve as the board of directors for the Cubs.

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Julian Rundle, CIO, Dorset Asset Management

Julian Rundle has been Managing Partner of Dorset Management since the companyís inception in 2004 and chairs its Investment Committee. He has more than 25 years of experience in successful management and trading of commodities and the oversight of managers in commodities and natural resources. At Dorset Management, he oversees the management of hedge fund portfolios, as well as takes the lead role in the due diligence process of all investment managers, a number of which have been specialists in the commodities, natural resource and macro areas. Mr.Rundle began his career in asset management at Balfour Maclaine International Inc., a U.S. subsidiary of Bowater Corp of the UK, where he developed and successfully managed the North American Commodities portfolio. He subsequently managed commodities portfolios and supervised commodity managers at Commodities Corporation in Princeton, NJ (which was later acquired by Goldman Sachs). He was also a member of the Chicago Mercantile Exchange. Since 2001, and prior to establishment of Dorset, Mr. Rundle advised Macquarie Bank on all aspects of its hedge fund investment activity. Mr. Rundle is Australian and is a resident of New York City. He was educated in the Faculty of Arts and the Faculty of Law at the University of Sydney in Australia and Columbia Business School in New York.

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Robert Sanborn, Managing Member, Sanborn Kilcollin Partners, LLC

Robert Sanborn is a co-founder of Sanborn Kilcollin Partners and is responsible for the investment decisions and portfolio allocation of the Adviser.

Mr. Sanborn has over 29 years experience in portfolio management and investment analysis and has been a strong and consistent proponent of value investing. Mr. Sanborn was the portfolio manager of The Oakmark Fund, the flagship mutual fund of Harris Associates, L.P., from Oakmarkís launch in August 1991 through March 2000. During this period, The Oakmark Fundís assets grew from $100,000 to over $9 billion. In 1998, Lipper, Inc. ranked Oakmark in the top 10% of value mutual funds, and Barronís named Mr. Sanborn the 1997 Fund Manager of the Year. Mr. Sanborn was a long-time member of Harris Associatesí Board of Directors and Stock Selection Committee. Before joining Harris in 1988, he was a security analyst and equity portfolio manager for the Ohio State Teachers Retirement System, from 1983 to 1988. Mr. Sanborn holds a BA from Dartmouth College (1980) and an MBA from the University of Chicago (1983).

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Andres Sandate, President & CEO, Endurance Strategies, LLC

Andres Sandate is the Founder and CEO of Endurance Strategies, LLC, (www.endurancestrategies.com) an integrated financial services platform consisting of a group of companies which provide investment consulting, strategic advisory and product development solutions to investment managers and investors. As CEO, he is responsible for the overall direction of the organization and devotes considerable time to evaluating hedge funds, alternative Ď40 Act mutual funds and other alternative investments.

Founded in 2010, Endurance Strategies most recent work includes launching several í40 Act mutual fund launches via Endurance Series Trust, a Multiple Series Trust sponsored by Endurance Fund Services, LLC. Additionally, he created and recently hosted the 2014 Endurance Strategies Southeast Investment Summit, featuring the Liquid Alternatives Symposium Southeast. The Summit is an educational road-show platform aimed at providing investors, investment managers and the professionals who serve them, with access to the experts, research, and thinking driving the growth and development of the liquid alternatives industry.

Prior to starting Endurance Strategies, LLC, he was an investment banker with SunTrust Capital Markets and Regions Capital Markets. He earned an MBA and a B.S. in Business Administration from the University of Kansas and is a member of the Committee of Hearts for the Southeast Chapter of Hedge Funds Care as well as the Executive Committee of the University of Kansas Hispanic Alumni Chapter. Mr. Sandate also holds Series 7, 63, 65 and 79 securities licenses.

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Sa'ad Shah, Managing Director, Diversified Global Asset Management Corporation

Bio to come..

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Justin Sheperd, CIO, Aurora Investment Management LLC

Justin D. Sheperd is a Partner, Chief Investment Officer and Portfolio Manager of Aurora Investment Management L.L.C. Aurora manages over $9 billion in hedge fund assets for onshore and offshore entities including customized portfolio solutions and a registered mutual fund. The Firmís alternative asset investment business was established in 1988 with the launch of Aurora Limited Partnership.

Mr. Sheperdís duties on behalf of the Firm include evaluating and analyzing both existing and prospective managers, their investment strategies and their risk controls. Mr. Sheperd also is responsible, as a voting member of the Firmís Investment Committee, for the investment management of all products which Aurora privately offers both domestically and offshore and for providing investment services to private account portfolios of hedge funds.

Prior to joining Aurora in 1996, Mr. Sheperd worked in the Database Services Department of Information Resources Inc., a firm that conducts research for the consumer packaged goods industry.

Mr. Sheperd is currently a member of the Business Advisory Council of Miami University. He has been a guest speaker at Northwestern University, University of Chicago, and Miami University.

Mr. Sheperd received a Bachelor of Science in Business Administration majoring in Finance and Accountancy from Miami University in 1994 and a Masters of Business Administration from The University of Chicago in 2003. He is a CFA Charterholder.

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Mark Shore , Founder, Shore Capital Management

Mark Shore,a well-known expert on alternative investments with more than 25 years of experience in the capital markets including former COO of VK Capital,a $250 million CTA at Morgan Stanley and former Head of Risk at Octane Research,a $1.1 billion alternative investment firm.In 2008,Mr.Shore founded Shore Capital Management that consults in alternative investments regarding due diligence, research, educational workshops and business development. His research is found at www.shorecapmgmt.com

Mr.Shore is also an Adjunct Professor at DePaul Univeristyís Kellstadt Graduate School of Business where he teaches the only known graduate level course on managed futures. He is also a Board Member of the Arditti Center for Risk Management at DePaul University. He is a contributing writer to Eurex, CBOE Futures Exchange (CFE), Reuters HedgeWorld, Micro-Cap Review and Yahoo.com Mr.Shore is a frequent speaker at alternative investment events and his research is published by global publications and organizations.Mr.Shore recently began hosting the acclaimed internet talk show about alternative investments ďSkewing Your DiversificationĒ.Mr.Shore Received his MBA from the University of Chicago.

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Gary Shugrue, Senior Portfolio Managers---ACP Funds, Barlow Partners

Mr. Shugrue is the Founder, President and Chief Investment Officer of Ascendant Capital Partners LP, sub-adviser to the ACP Funds Platform. Ascendant was formed in August of 2001 as a subsidiary of Turner Investment Partners, a $25 billion asset management firm.

In 2014 Ascendant partnered with Barlow Partners Inc., a New York based fund of hedge funds with over $750 million under management. Mr. Shugrue is responsible for the 1940 Act Registered fund platform offered by Barlow Partners.

Mr. Shugrue brings twenty one years of hedge fund experience and over thirty-six years of investment experience to the Firm. From 1988 to 2000 he served as the co-founder and partner of Argos Advisors LLC, a long/short equity hedge fund firm. Along with his partner, he started Argos and grew the firm from $1.6 million in 1988 to $135 million. Argosí clients included high net worth individuals, off-shore investors, endowments and corporate pension plans. From 1981 to 1988 he was a Vice President in Institutional Equity Sales with Kidder Peabody, Prudential Securities and Merrill Lynch servicing large institutional clients in the Mid-Atlantic area. From 1977 to 1979 he was an Account Executive with Merrill Lynch.

He earned his MBA in Finance from the University of Pennsylvaniaís Wharton School in 1981 and his BS in Accounting from Villanova University in 1976. Gary is also an acting Board Member of The Quaker Investment Trust Funds and an Investment Committee Member of Project H.O.M.E. Philadelphia.

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Sharon Snow, CEO, Metropolitan Capital Strategies

Sharon joined MCS in May 2008 as a Principal and focuses on business development initiatives as well as serving on the Investment Committee with David Schombert. Leveraging her robust background growing and managing businesses, Ms. Snow provided vital leadership to the launch the firmís hedge fund and the implementation of the accompanying sales and marketing effort. She also maintains the firmís relationships with the investment professionals utilizing MCS as a money manager for their clients. Tapping into her passion for study of the financial markets, Ms. Snow provides exceptional research that has assisted the Investment Committee manage the MCS strategies to deliver notable performance and low drawdown. Ms. Snow came to MCS after a very successful career in Private Client Wealth Management with Citigroup Global Markets, Inc., Smith Barney. She received her B.S. in Business Management from the University of Maryland.

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Bill Speth, VP, Research and Product Development, Chicago Board Options Exchange (CBOE)

Bio to come...

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Constance Teska, Principal, Pluscios Management

Ms. Teska is a principal of Pluscios Management LLC.

Prior to co-founding Pluscios, Ms. Teska was President of JPMorgan Capital Management (formerly Banc One and First Chicago) (the ďBankĒ), the Bankís fund-of-hedge fund business, which invested both proprietary and client assets in portfolios of hedge funds. Ms. Teska was responsible for all facets of the business providing strategic direction, management, and leadership. As head of the Investment Committee she was responsible for portfolio construction, portfolio management, risk management, manager selection, due diligence, and on going manager monitoring. Ms. Teska was the founding member of this business and successfully managed it for nine years achieving top quartile performance. She also designed the alternative asset sales and marketing process for the Bankís private wealth group.

In the 1990s, Ms. Teska, Senior Vice President, was part of the team that spearheaded an $8 billion proprietary investment business using up to 10% of Bank Capital and contributing up to 20% of total Bank revenue. The Corporate investment groupís strategy was to access the best managers, both internally and externally, through direct investments and investments in funds. The group initially entered the alternative asset class through investments in private equity, tax-oriented investments (e.g., leveraged leases, energy investments, etc.), structured value investments (e.g., CMBS, CDOs, etc.) and market value investments (e.g., hedge funds). Ms. Teska was instrumental in launching each investment class and served on the Investment Committee and Management Committee for each asset class.

Ms. Teska's career at JPMorgan and its legacy institutions spanned twenty-five years. During this time she was a frequent speaker on alternative assets at conferences and other industry events.

Ms. Teska received her M.B.A. from the Kellogg Graduate School of Management at Northwestern University and her B.S. degree from the Medill School of Journalism at Northwestern University. She serves on the Board of Directors for the Northwestern University Settlement House and also served on the Board of the Chicago Chapter of Hedge Funds Care.

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Kay Torshen, CEO and CIO, Torshen Capital Management

Bio to come...

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Jay Tubianosa, Director, Clearbrook Investment Consulting

Jay joined Clearbrook Investment Consulting, formerly known as Shields Associates, in 1997. His duties at Clearbrook include portfolio risk management, market research, and investment manager due diligence. Mr.Tubianosa has covered traditional and alternative investment strategies. He is a frequent speaker at institutional investment conferences and alternative investment conferences. Previously, Mr.Tubianosa was with Weiss, Peck, and Greer LLC, in the role of Performance Analyst and Supervisor of Portfolio Administration. Mr.Tubianosa also worked for Provident Capital Corporation as an Equity Analyst/Trader, and subsequently, as an Assistant Portfolio Manager. He is a CFA Charterholder and a member of CFA Institute and NYSSA. Mr.Tubianosa is also a member of PRMIA (Professional Risk Management International Association) and received the Professional Risk Management Certification (PRM). Mr.Tubianosa received a BS in Finance from Bentley College and a Master of Science in Risk Management from New York University Stern School of Business. Mr.Tubianosa has 24 years of investment and consulting experience.

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Wrug Ved, Associate, PAAMCO

Bio to come..

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Richard Vigilante, Chief Communications Officer and Author, Whitebox Advisors

Richard Vigilante joined Whitebox in 2002. Mr. Vigilante is responsible for articulating Whitebox Advisorís principles and investment ideas into clear and compelling messages and for ensuring that these messages reach their intended audiences effectively. Previously, Mr. Vigilante served as Vice President and Editorial Director of Gilder Publishing; Editorial Director of the Manhattan Institute, where he founded the Instituteís acclaimed journal of urban affairs, the City Journal; and an editor of National Review magazine. Mr. Vigilante served in the Reagan White House as a speechwriter and editor of the White House Digest. He is the author or co-author of several books including Panic, coauthored with Andrew Redleaf. His work has appeared in the New York Times, Wall Street Journal, and New Republic. Mr. Vigilante holds a BA in Philosophy from Yale University, class of 1978.

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Steve Vogt, Chief Investment Officer, Mesirow Advanced Strategies

Dr. Stephen Vogt is a senior managing director and the chief investment officer of Mesirow Advanced Strategies, Inc.,and a member of the investment and executive committees.Additionally,he is a member of its parent company,Mesirow Financial Holdings, Inc.ís board of directors.Dr. Vogtís focus is on evaluating the investment landscape and identifying attractive opportunities and risks in the marketplace.Prior to joining Mesirow Advanced Strategies,Inc.in 1999,he was an associate professor of finance at DePaul University.Dr. Vogtís research focused on empirical tests of financial theories and has been published in both academic and trade journals.He received a B.S. in economics and mathematics from Bemidji State University,and M.A. and Ph.D. degrees in economics from Washington University-St. Louis.

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Joe Wade, CIO, Meritage Capital

Mr. Wade is the Chief Investment Officer of the Investment Manager and Chairman of the Investment Committee. He became CIO on January 1, 2013 in connection with the merger of Centennial into the Investment Manager. Previously, Mr. Wade served as CIO of Centennial from July 2003 to December 2012.

Prior to Meritage, Mr.Wade founded Centennial Partners, LLC, served as the firmís Chief CIO, and was a member of Centennialís Board of Managers. In this role he chaired the Investment Committee, which oversaw fund level asset allocation, manager due diligence, portfolio construction, and risk management of Centennialís funds. Currently, he serves on the Board of Spring Creek Ranch and the Madonna Learning Center in Memphis, TN. He received his Bachelor of Science with a major in Commerce & Business Administration from the University of Alabama.

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Scot Warren, Senior Managing Director, Equity Index Products & Index Services , CME Group

Scot E. Warren has served as Senior Managing Director, Equity Index Products & Index Services of CME Group since February 2010.He is responsible for overseeing the company's equity product line and index services business.He represents CME Group as a member of the Board of Directors of S&P Dow Jones Index Services and OneChicago.He previously served as the CEO of the firm's Index Service business.

Before joining CME Group, Mr.Warren gained more than 16 years of equity and option trading and clearing experience.He most recently worked at Goldman Sachs and Co. While at Goldman, Mr.Warren managed equity wholesaling to broker dealers and served as CFO of North America Securities Trading. Prior to joining Goldman Sachs, he managed equity and option execution and clearing businesses for ABN AMRO in Chicago and was a senior consultant for Arthur Andersen & Co. for financial services firms.

He earned a bachelorís degree in accounting from Pennsylvania State University and a masterís of science degree in financial markets and trading from the Illinois Institute of Technology Stuart School of Business.

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Becky Yerak, Business Reporter, Chicago Tribune

Bio to come..

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Peter Zaldivar, Portfolio Manager, Kabouter Management

Peter Zaldivar is a principal and co-founder of Kabouter Management,LLC, a Chicago based international equities firm.Kabouter specializes in under-researched and/or misunderstood international small caps that are best positioned to benefit from long term secular trends.Kabouter also seeks to add value in a number of ways, most often by helping companies emerge from relative obscurity and gain greater exposure to investors.

Mr. Zaldivar began his career in 1994 as a portfolio manager at Thomas White International.In 1996,Mr. Zaldivar joined Wanger Asset Management,where he was a principal and managed portfolios of international stocks.The funds he worked on received the highest ratings from Lipper Analytical Services and Morningstar. After participating in the 2001 sale of Wanger Asset Management to Liberty Financial, Mr. Zaldivar co-founded Kabouter Management.

In 1989, Mr. Zaldivar received his B.A. from the University of Wisconsin in Economics, and in 1994, a J.D. from Harvard University with course work in international finance and trade law. Mr. Zaldivar received the Chartered Financial Analyst designation in 1997. Most recently, he co-authored two research papers titled Anatomy of the Small-Cap Anomaly and the Importance of Investor Relations in Unlocking Value in International Equities. Both papers were reviewed by faculty at the University of California at Berkeley and University of Chicago.

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Leah Zell, Founder & Portfolio Manager, Lizard Investors

Ms.Zell is the founder of Lizard Investors LLC and the portfolio manager of Lizard International Fund. Lizard invests in the equity of companies domiciled outside the U.S. The Fund is geographic, sector, benchmark and market capitalization agnostic and focuses on providing excellent risk adjusted returns. Prior to founding Lizard in 2008, Ms. Zell held several international lead portfolio manager positions at Wanger Asset Management, a firm she coĀ]founded. Ms. Zell has served as treasurer and a member of the executive committee of the Chicago Council on Global Affairs since June 2004. She also is a director of the Horton Trust Company, a member of the Council on Foreign Relations, a member of the Harvard Global Advisory Council and a member of the Radcliffe Institute DeanĀfs Advisory Council. Ms. Zell is a Chartered Financial Analyst and graduated with a B.A. magna cum laude and Phi Beta Kappa from Harvard University, where she also earned her Ph.D. in European social and economic history.

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Brian Ziv, Portfolio Manager, Head of Hedge Fund Strategies Committee, William Blair

Bio to come...

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