Profil
Mr. Charles A. Knott, Jr., is Co-Chief Investment Officer at Sentinel Capital Solutions, Inc.
Mr. Knott was previously employed as Independent Director by Artisanal Brands, Inc., Founder, Chairman & Co-Chief Investment Officer by CAK Asset Management, Inc., Co-Chief Investment Officer by Knott Asset Management LLC, and a Managing Director by Logan Capital Management, Inc.
He received his undergraduate degree from Loyola University Maryland, Inc..
Tidigare kända positioner av Charles Arthur Knott
| Företag | Position | Slut |
|---|---|---|
Sentinel Capital Solutions, Inc.
Sentinel Capital Solutions, Inc. Investment ManagersFinance Sentinel uses a proprietary quantitative formula that determines portfolio weight among asset classes to help them achieve their clients' goals. Portfolios tend to be made up of a combination of individual securities, such as closed-end and exchange-traded funds (CEFs and ETFs), among others. | Chef-Ekonomiska Investeringar | 2017-04-01 |
Knott Asset Management LLC
Knott Asset Management LLC Investment ManagersFinance Knott Asset Management focuses on investments in US, non-US and emerging markets. The firm's investment approach is based on the principles of capital preservation. The firm employs a globally flexible, disciplined, bottom-up investment approach that focuses on investments in the stocks of undervalued, strong and sustainable businesses. Knott Asset Management's stocks selection process focuses on 3 criteria: fundamental profitability, franchise/irreproducible competitive advantage and undervaluation. They offer their unique, risk-averse investment approach to investors in separately managed accounts and through a mutual fund. Knott Asset Management's strategies include the Global Flex Strategy (formerly Vedette Global Equity) and US Core (formerly Knott Equity Capital). The firm's Global Flex Strategy is suitable for clients seeking exposure to the most attractive opportunities worldwide. The strategy seeks to produce exceptional long-term results, with emphasis on capital preservation. It is available in separate accounts. Knott Asset Management's US Core Strategy is suitable for clients seeking exposure to the best opportunities in the American equity markets. The portfolio seeks to outperform the overall US market over a full cycle, with emphasis on capital preservation. It is available in separate accounts and in the Quaker Capital Opportunities Fund, a mutual fund distributed by Quaker Funds. | Medlem av Investeringskommittén | 2013-05-31 |
| ARTISANAL BRANDS, INC. | Direktör/Styrelseledamot | 2011-08-29 |
Logan Capital Management, Inc.
Logan Capital Management, Inc. Investment ManagersFinance Logan Capital uses macroeconomic, fundamental and technical methods of analysis in selecting securities for clients' account. The firm’s range of equity and fixed income strategies focuses on high-conviction investments with strong returns. | Portföljförvaltare-Aktier | - |
CAK Asset Management, Inc.
CAK Asset Management, Inc. Investment ManagersFinance Knott Capital Management invests primarily in the stocks of US large-cap companies in the finance, electronic technology, technology services, healthcare technology and energy minerals sectors. The firm employs a top-down investment process that is based on the economy and interest rates. They begin with an in-house macroeconomic forecast that incorporates GDP, interest rates, Federal Reserve policy, inflation/deflation pressures, labor market studies and productivity gains. Knott Capital Management overweights sectors whose fundamentals are more favored by a macro view. They underweight or avoid industries that are impaired by the forecast. The firm uses a bottom-up approach to select individual securities. This process incorporates in-house, independent and Wall Street sources. They look for companies within their identified sectors with superior products/services, strong business models with pricing power and exceptional management teams. From a valuation standpoint, Knott Capital Management invests in companies that trade at a reasonable multiple relative to their normalized growth rate, their sector peers and the market. The firm maintains a very high turnover rate | Grundare | - |
Charles Arthur Knotts utbildningar
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| Privata företag | 6 |
|---|---|
Artisanal Brands, Inc.
Artisanal Brands, Inc. Food: Specialty/CandyConsumer Non-Durables Markets and distributes specialty, artisanal and farmstead cheese products | Consumer Non-Durables |
Logan Capital Management, Inc.
Logan Capital Management, Inc. Investment ManagersFinance Logan Capital uses macroeconomic, fundamental and technical methods of analysis in selecting securities for clients' account. The firm’s range of equity and fixed income strategies focuses on high-conviction investments with strong returns. | Finance |
CAK Asset Management, Inc.
CAK Asset Management, Inc. Investment ManagersFinance Knott Capital Management invests primarily in the stocks of US large-cap companies in the finance, electronic technology, technology services, healthcare technology and energy minerals sectors. The firm employs a top-down investment process that is based on the economy and interest rates. They begin with an in-house macroeconomic forecast that incorporates GDP, interest rates, Federal Reserve policy, inflation/deflation pressures, labor market studies and productivity gains. Knott Capital Management overweights sectors whose fundamentals are more favored by a macro view. They underweight or avoid industries that are impaired by the forecast. The firm uses a bottom-up approach to select individual securities. This process incorporates in-house, independent and Wall Street sources. They look for companies within their identified sectors with superior products/services, strong business models with pricing power and exceptional management teams. From a valuation standpoint, Knott Capital Management invests in companies that trade at a reasonable multiple relative to their normalized growth rate, their sector peers and the market. The firm maintains a very high turnover rate | Finance |
Knott Asset Management LLC
Knott Asset Management LLC Investment ManagersFinance Knott Asset Management focuses on investments in US, non-US and emerging markets. The firm's investment approach is based on the principles of capital preservation. The firm employs a globally flexible, disciplined, bottom-up investment approach that focuses on investments in the stocks of undervalued, strong and sustainable businesses. Knott Asset Management's stocks selection process focuses on 3 criteria: fundamental profitability, franchise/irreproducible competitive advantage and undervaluation. They offer their unique, risk-averse investment approach to investors in separately managed accounts and through a mutual fund. Knott Asset Management's strategies include the Global Flex Strategy (formerly Vedette Global Equity) and US Core (formerly Knott Equity Capital). The firm's Global Flex Strategy is suitable for clients seeking exposure to the most attractive opportunities worldwide. The strategy seeks to produce exceptional long-term results, with emphasis on capital preservation. It is available in separate accounts. Knott Asset Management's US Core Strategy is suitable for clients seeking exposure to the best opportunities in the American equity markets. The portfolio seeks to outperform the overall US market over a full cycle, with emphasis on capital preservation. It is available in separate accounts and in the Quaker Capital Opportunities Fund, a mutual fund distributed by Quaker Funds. | Finance |
Loyola University Maryland, Inc.
Loyola University Maryland, Inc. Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Sentinel Capital Solutions, Inc.
Sentinel Capital Solutions, Inc. Investment ManagersFinance Sentinel uses a proprietary quantitative formula that determines portfolio weight among asset classes to help them achieve their clients' goals. Portfolios tend to be made up of a combination of individual securities, such as closed-end and exchange-traded funds (CEFs and ETFs), among others. | Finance |
















