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The investment seeks long-term capital appreciation. Under normal market conditions, at least 80% of the fund's net assets will be invested in equity securities. It seeks to invest primarily in common stocks of international companies of any size, including foreign securities and securities of U.S. companies. The fund typically invests in securities of issuers from at least three or more non-U.S. countries, with at least 40% of the fund's net assets invested in foreign securities. It may invest in foreign securities which may include securities of companies in emerging markets or less developed countries.
Name | Title | Since | Until |
---|---|---|---|
Ashvin Viswanathan | Principal, Portfolio Manager | 2019 | Now |
Biography | Ashvin Viswanathan has served as a member of the portfolio management team of Gerstein Fisher since January 2017 and is responsible for investment strategy development, portfolio management and risk control. Mr. Viswanathan brings to the Advisor more than 15 years of experience in quantitative research and portfolio engineering for US and global equities and real estate securities strategies. He joined the firm from O’Shaughnessy Asset Management, where he was a Principal and Portfolio Manager. During his seven-year tenure at O’Shaughnessy, Mr. Viswanathan designed proprietary investment and risk models and was a key contributor to building out the firm’s “factor library.” | ||
William Jollie | Managing Director, SVP | 2019 | Now |
Biography | Bill Jollie joined Gerstein Fisher in 2006 and is responsible for investment strategy development, the implementation of client portfolios, and the overall coordination of the Gerstein Fisher team. In addition, Bill monitors the firm’s quantitative strategies, reviewing all portfolios for compliance with investment objectives and client guidelines, and oversees performance reporting and data integrity. He brings almost 15 years of experience in creating and optimizing investment solutions that effectively leverage efficient processes and smart technology to the benefit of investors. | ||
Sanjeev Pati | Portfolio Manager, Senior Quantitative Research Analyst | 2019 | Now |
Biography | Sanjeev Pati joined Gerstein Fisher in 2012. Sanjeev is responsible for the management of the Advisor’s investment process, including investment strategy implementation, portfolio management and trading. Sanjeev allocates his time across research, quantitative investment analysis, and the creation of tools that bring operational efficiency to the management of the firm’s strategies. Sanjeev brings a strong background in research and analytics to Gerstein Fisher, including statistical analysis performed as research assistant at Columbia University and mechanical engineering work as a research intern at Ruhr University in Germany and at Mahindra and Mahindra Automotive Ltd. | ||
Gregg S. Fisher | Founder, Head of Quantitative Research and Portfolio Strategy | 2012 | 2019 |
Biography | Gregg S. Fisher, CFA, is recognized as an early pioneer in factor investing and has more than 25 years of experience in managing money. He leads the Investment Strategy Group at Gerstein Fisher, a quantitative-investment firm he founded in 1993. In 2016, Gerstein Fisher became the quantitative investment arm of People’s United Bank; Gregg also serves as the Bank’s Head of Research and Portfolio Strategy. |
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