Profiel
Mr. Curran joined Phonix Investment Adviser in October 2010.
Prior to that, he was a Senior Vice President at Oppenheimer Capital - Allianz Global Investors Capital from May 2002 to October 2009.
Before that, he was a director at Rothschild Asset Management from March1999 to August 1999.
He was a founding partner at Cypress Asset Managment from 1995 to March 1999.
Prior to Cypress Asset Managment, he was the First Vice President at Smith Barney Capital Management from 1989 to 1995.
Mr. Curran received his BS degree from Ohio Wesleyan University in 1981.
Eerdere bekende functies van Donald Curran
| Bedrijven | Functie | Einde |
|---|---|---|
Oppenheimer Capital
Oppenheimer Capital Investment ManagersFinance Oppenheimer manages separate US small-, mid- and large-cap and value equity portfolios and separate non-US international and global equity portfolios. The firm also offers an array of separately managed institutional investment products. Their proprietary research approaches designed to deliver alpha to client portfolios. Oppenheimer's value strategies are designed to generate alpha through research insights that identify securities trading at a discount to intrinsic value. Their value strategy platform contains several equity strategies managed for long-term appreciation over a full market cycle. Their value strategies include large-cap value, mid-cap value, small-cap value, all cap value and balanced value. Oppenheimer's core strategies incorporate a value-oriented investment approach that emphasizes strong management and franchise quality when analyzing companies and identifying attractive investment opportunities. Their core strategy platform is managed for long-term appreciation over a full market cycle and includes large-cap focus, strategic equity, small-cap core and all cap equity. Oppenheimer's growth strategies employ a bottom-up fundamental research approach. The goal is to identify growing businesses through proprietary fundamental research, bearing in mind a long-term investment horizon. They believe this is the best way to identify differentiated insights about a stock's earnings potential and ultimately generate strong returns. Their growth strategies include large-cap growth, mid-cap growth, small-cap growth and 130/30 S/M growth. The firm's global strategies include core and value-oriented investment approaches that emphasize strong management and franchise quality when analyzing companies and identifying attractive investment opportunities. Their global strategy platform is managed for long-term appreciation over a full market cycle and includes international equity and global equity. Oppenheimer's fixed-income strategies incorporate a multi-sector approach investing in U.S. government, agency and corporate bonds. Their fixed-income strategies seek long-term outperformance of client specific benchmarks over a full market cycle. These strategies include fixed-income core, fixed-income core plus, fixed-income intermediate and fixed-income government/corporate. Oppenheimer also offers structured alpha strategies that integrate their proprietary index options approach with underlying fixed income, passive equity or active equity portfolios. The strategies are designed to achieve absolute-return, alpha-enhancement and beta-hedging. One of the key benefits of this approach is the consistently low correlation of the alpha source to the underlying portfolio. These strategies include structured alpha and enhanced index. | Corporate Officer/Principal | 30-09-2009 |
Rothschild & Co. Asset Management US, Inc.
Rothschild & Co. Asset Management US, Inc. Investment ManagersFinance R&Co actively manages their portfolios with a goal of outperforming the indices, whatever the market conditions, and with a controlled level of risk. The firm’s investment strategy is based on three key principles that drive their investment decisions regarding allocation, sector and stock selection. Their three core investment principles are Conviction, Fundamentals and Convexity. | Corporate Officer/Principal | - |
Cypress Asset Management, Inc.
Cypress Asset Management, Inc. Investment ManagersFinance Cypress is a long-term investor that strives to generate above market returns across a wide range of challenging global economic and market environments. Their investment process combines a top-down macro approach to guide portfolio construction with fundamental, research driven stock selection. To reduce risk and to provide stability, each portfolio is typically diversified across 30 or more holdings. Stocks will be sold, or weightings reduced when price exceeds full value or becomes expensive on a relative basis, when the fundamental outlook for the company or industry becomes less favorable or significantly increases the risk of the position, or to make room for a more attractive alternative. | Corporate Officer/Principal | 28-02-1999 |
Phoenix Investment Adviser LLC
Phoenix Investment Adviser LLC Investment ManagersFinance Phoenix Investment Adviser focuses on high yield debt and utilizes a research intensive, bottom-up investment process which focuses on securities of companies which have undergone or are undergoing some financial stress. The firm concentrates its investment recommendations primarily on securities that it believes trade at a significant discount to their underlying value. They analyze prospects across all industries, but focuses on asset rich, positive cash flow companies. Phoenix Investment Adviser looks throughout the capital structure and across asset classes to identify securities with the greatest perceived return potential for each of our strategies. They may also engage in short sales, hedging strategies and capital structure arbitrage to enhance performance and/or to hedge certain risks of a portfolio. | Portfolio Manager-Fixed Income | - |
| INVESCO LTD. | Corporate Officer/Principal | - |
Opleiding van Donald Curran
Ervaring
Beklede functies
Actief
Inactief
Beursgenoteerde bedrijven
Bedrijven in privébezit
Connecties
Eerstegraads connecties
Bedrijven verbonden in de eerste graad
Man
Vrouw
Besturend
Uitvoerend
Verwante bedrijven
| Bedrijven in privébezit | 6 |
|---|---|
Oppenheimer Capital
Oppenheimer Capital Investment ManagersFinance Oppenheimer manages separate US small-, mid- and large-cap and value equity portfolios and separate non-US international and global equity portfolios. The firm also offers an array of separately managed institutional investment products. Their proprietary research approaches designed to deliver alpha to client portfolios. Oppenheimer's value strategies are designed to generate alpha through research insights that identify securities trading at a discount to intrinsic value. Their value strategy platform contains several equity strategies managed for long-term appreciation over a full market cycle. Their value strategies include large-cap value, mid-cap value, small-cap value, all cap value and balanced value. Oppenheimer's core strategies incorporate a value-oriented investment approach that emphasizes strong management and franchise quality when analyzing companies and identifying attractive investment opportunities. Their core strategy platform is managed for long-term appreciation over a full market cycle and includes large-cap focus, strategic equity, small-cap core and all cap equity. Oppenheimer's growth strategies employ a bottom-up fundamental research approach. The goal is to identify growing businesses through proprietary fundamental research, bearing in mind a long-term investment horizon. They believe this is the best way to identify differentiated insights about a stock's earnings potential and ultimately generate strong returns. Their growth strategies include large-cap growth, mid-cap growth, small-cap growth and 130/30 S/M growth. The firm's global strategies include core and value-oriented investment approaches that emphasize strong management and franchise quality when analyzing companies and identifying attractive investment opportunities. Their global strategy platform is managed for long-term appreciation over a full market cycle and includes international equity and global equity. Oppenheimer's fixed-income strategies incorporate a multi-sector approach investing in U.S. government, agency and corporate bonds. Their fixed-income strategies seek long-term outperformance of client specific benchmarks over a full market cycle. These strategies include fixed-income core, fixed-income core plus, fixed-income intermediate and fixed-income government/corporate. Oppenheimer also offers structured alpha strategies that integrate their proprietary index options approach with underlying fixed income, passive equity or active equity portfolios. The strategies are designed to achieve absolute-return, alpha-enhancement and beta-hedging. One of the key benefits of this approach is the consistently low correlation of the alpha source to the underlying portfolio. These strategies include structured alpha and enhanced index. | Finance |
Cypress Asset Management, Inc.
Cypress Asset Management, Inc. Investment ManagersFinance Cypress is a long-term investor that strives to generate above market returns across a wide range of challenging global economic and market environments. Their investment process combines a top-down macro approach to guide portfolio construction with fundamental, research driven stock selection. To reduce risk and to provide stability, each portfolio is typically diversified across 30 or more holdings. Stocks will be sold, or weightings reduced when price exceeds full value or becomes expensive on a relative basis, when the fundamental outlook for the company or industry becomes less favorable or significantly increases the risk of the position, or to make room for a more attractive alternative. | Finance |
Rothschild & Co. Asset Management US, Inc.
Rothschild & Co. Asset Management US, Inc. Investment ManagersFinance R&Co actively manages their portfolios with a goal of outperforming the indices, whatever the market conditions, and with a controlled level of risk. The firm’s investment strategy is based on three key principles that drive their investment decisions regarding allocation, sector and stock selection. Their three core investment principles are Conviction, Fundamentals and Convexity. | Finance |
Invesco Ltd.
Invesco Ltd. Investment ManagersFinance Provides investment management services | Finance |
Ohio Wesleyan University
Ohio Wesleyan University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Phoenix Investment Adviser LLC
Phoenix Investment Adviser LLC Investment ManagersFinance Phoenix Investment Adviser focuses on high yield debt and utilizes a research intensive, bottom-up investment process which focuses on securities of companies which have undergone or are undergoing some financial stress. The firm concentrates its investment recommendations primarily on securities that it believes trade at a significant discount to their underlying value. They analyze prospects across all industries, but focuses on asset rich, positive cash flow companies. Phoenix Investment Adviser looks throughout the capital structure and across asset classes to identify securities with the greatest perceived return potential for each of our strategies. They may also engage in short sales, hedging strategies and capital structure arbitrage to enhance performance and/or to hedge certain risks of a portfolio. | Finance |
















