Profil
Mr. Leu has been in the finance industry since 1987.
Mr. Leu joined Lee Munder in July 2009 when Independence Investments merged with Lee Munder.
He joined Independence Investments in 1994.
Previously, he worked for Franklin Portfolio Associates.
Mr. Leu has a BA from Bowdoin College and an MS from the Sloan School of Management at MIT.
He is a member of the Association for Investment Management & Research, the Boston Security Analysts Society and the International Society of Financial Analysts.
Tidigare kända positioner av Jay C. Leu
| Företag | Position | Slut |
|---|---|---|
LMCG Investments LLC
LMCG Investments LLC Investment ManagersFinance LMCG applies various portfolio construction and risk assessment skills in managing portfolios across a broad risk/return spectrum. The firm utilizes a combination of top-down and bottom-up analysis and both fundamental and quantitative tools to construct their portfolios. Core investment capabilities include global equity, fixed income, and absolute return/relative value credit. | Analyst-Equity | 2009-12-31 |
Independence Investments LLC
Independence Investments LLC Investment ManagersFinance Independence follows a multi-dimensional investment process applying fundamental research and quantitative modeling to create return predictions. In fundamental research, analysts determine how economic and competitive forces are likely to shape the prospects for each of the companies in their investment universe. The analysts interview the management of these companies, as well as suppliers, customers, competitors and other industry experts. Quantitative research is then used to translate these fundamental insights into computer-based methods for stock selection. Independence's investment philosophy and process seeks to minimize style and sector biases. | Analyst-Equity | 2009-07-29 |
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| Privata företag | 2 |
|---|---|
Independence Investments LLC
Independence Investments LLC Investment ManagersFinance Independence follows a multi-dimensional investment process applying fundamental research and quantitative modeling to create return predictions. In fundamental research, analysts determine how economic and competitive forces are likely to shape the prospects for each of the companies in their investment universe. The analysts interview the management of these companies, as well as suppliers, customers, competitors and other industry experts. Quantitative research is then used to translate these fundamental insights into computer-based methods for stock selection. Independence's investment philosophy and process seeks to minimize style and sector biases. | Finance |
LMCG Investments LLC
LMCG Investments LLC Investment ManagersFinance LMCG applies various portfolio construction and risk assessment skills in managing portfolios across a broad risk/return spectrum. The firm utilizes a combination of top-down and bottom-up analysis and both fundamental and quantitative tools to construct their portfolios. Core investment capabilities include global equity, fixed income, and absolute return/relative value credit. | Finance |
















