Profil
Douglas Clark currently works at Sun Life Capital Management (US) LLC, as Managing Director & Portfolio Manager from 2020.
Mr. Clark also formerly worked at Prime Advisors, Inc., as Senior Vice President & Chief Portfolio Strategist from 1992 to 2019.
Mr. Clark received his undergraduate degree in 1992 from the University of Washington.
Aktiva positioner av Doug Clark
| Företag | Position | Start |
|---|---|---|
Sun Life Capital Management (US) LLC
Sun Life Capital Management (US) LLC Investment ManagersFinance SLC Management employs securities investment strategies that involve fixed income securities, including investments in both publicly traded and privately offered fixed income securities. The firm also provides a range of investment strategies involving ETFs, derivatives and equity securities. In addition, they provide risk management or hedging strategies, which involve the use of various types of derivative instruments, for their affiliated clients. SLC Management employs bottom-up security selection and they are actively managing portfolios to seek relative value. The firm is looking for risk that is fundamentally or technically mispriced in order to find investment opportunities. | Portfolio Manager-Fixed Income | 2019-12-31 |
Tidigare kända positioner av Doug Clark
| Företag | Position | Slut |
|---|---|---|
Prime Advisors, Inc.
Prime Advisors, Inc. Investment ManagersFinance Prime Advisors' investment approach seeks to generate after-tax income through crossover trading between taxable and tax-exempt securities, duration selection and after-tax yield pickup swap analysis. The firm's utilizes proprietary systems and dynamic financial analysis models to develop optimal investment strategies. Prime’s credit research process begins at the Investment Committee level. The Investment Committee sets broad risk parameters and mandates that are applied across all portfolios. Then, on the security level, Prime performs independent credit research for securities that they manage. Their credit research team performs bottom-up individual security analysis and must approve an issuer prior to purchase. This team works with the portfolio managers to determine relative value within the corporate bond market, but ultimately the portfolio managers determine if an issuer is appropriate for a client’s portfolio. In addition to conducting fundamental credit analysis, Prime strives to achieve their investment objectives by emphasizing high-quality issuers, diversification and liquidity among market leaders. ^ | Portfolio Manager-Fixed Income | 2019-12-31 |
Doug Clarks utbildningar
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| Privata företag | 3 |
|---|---|
Sun Life Capital Management (US) LLC
Sun Life Capital Management (US) LLC Investment ManagersFinance SLC Management employs securities investment strategies that involve fixed income securities, including investments in both publicly traded and privately offered fixed income securities. The firm also provides a range of investment strategies involving ETFs, derivatives and equity securities. In addition, they provide risk management or hedging strategies, which involve the use of various types of derivative instruments, for their affiliated clients. SLC Management employs bottom-up security selection and they are actively managing portfolios to seek relative value. The firm is looking for risk that is fundamentally or technically mispriced in order to find investment opportunities. | Finance |
University of Washington
University of Washington Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Prime Advisors, Inc.
Prime Advisors, Inc. Investment ManagersFinance Prime Advisors' investment approach seeks to generate after-tax income through crossover trading between taxable and tax-exempt securities, duration selection and after-tax yield pickup swap analysis. The firm's utilizes proprietary systems and dynamic financial analysis models to develop optimal investment strategies. Prime’s credit research process begins at the Investment Committee level. The Investment Committee sets broad risk parameters and mandates that are applied across all portfolios. Then, on the security level, Prime performs independent credit research for securities that they manage. Their credit research team performs bottom-up individual security analysis and must approve an issuer prior to purchase. This team works with the portfolio managers to determine relative value within the corporate bond market, but ultimately the portfolio managers determine if an issuer is appropriate for a client’s portfolio. In addition to conducting fundamental credit analysis, Prime strives to achieve their investment objectives by emphasizing high-quality issuers, diversification and liquidity among market leaders. ^ | Finance |
















