Profil
Mr. John D.
Freeman is Chairman & Chief Executive Officer at Freeman Investment Management Co. LLC.
Mr. Freeman joined Freeman Investment in February 2009, Before Freeman Invesment, he was with Freeman Associates.
He joined Freeman Associates in December 1996.
Before joining Freeman Associates, he served as Vice President and Portfolio Manager at Martingale Asset Management.
His work involved product development, portfolio management, and client service.
He serves on the Advisory Committee of The Journal of Investing and serves on the board of the Research Foundation of the CFAI.
Mr. Freeman recieved his undergraduate degree in University of Vermont and his postgraduate degree in Economics in University of Michigan.
Tidigare kända positioner av John D. Freeman
| Företag | Position | Slut |
|---|---|---|
Freeman Investment Management Co. LLC
Freeman Investment Management Co. LLC Investment ManagersFinance Freeman Investment Management Co.'s investment approach is based on the idea that low volatility stocks offer higher risk-adjusted returns. The firm believes that while most of the equity market, as defined by the Russell 3000 Index, is efficiently priced, about one-third of it is not. They believe that investors are rarely, if ever, adequately compensated for the risk accompanying the most volatile stocks. The firm offers market beta, alternative beta and zero beta strategies. Their market beta strategies include: Large-Cap Core, Large-Cap Core Value and Large-Cap Value. Freeman's Alternative Beta strategies include: Efficient Value and Small-Cap Efficient Value. The firm's Zero Beta strategy is referred to as Fair Value. The firm's flagship market beta strategies, Large-Cap Core and Large-Cap Core Value, are benchmarked against the S&P 500 index and maintain a value bias while seeking to outperform the Russell 1000 without style restrictions. Their Large-Cap Value market beta strategy employs a pure value investment approach that is benchmarked against the Russell 1000. Freeman's Alternative Beta Efficient Value strategy invests in a portfolio of the most stable and fundamentally attractive stocks with low volatility/downside risk that offer much more compelling risk -adjusted returns than the benchmark. Their Alternative Beta Small-Cap Efficient Value strategy seeks to add value while simultaneously reducing exposure to uncompensated total volatility. Freeman's Zero Beta Fair Value investment strategy is a deep value, low beta strategy that seeks to capitalize on the respectively high and low risk-adjusted returns to low and high volatility stocks. Though not limited by sector, the firm tends to invest in the stocks of US companies in the finance, consumer non-durables and health technology sectors. Freeman invests across all market-caps. They maintain a high turnover rate. | Ordförande | 2010-06-01 |
Freeman Associates Investment Management Co. LLC | Ordförande | 2009-01-31 |
Barra LLC
Barra LLC Packaged SoftwareTechnology Services Provides investment analytics, trading solutions and software to investment professions | Företagsledare/Principal | - |
Martingale Asset Management LP
Martingale Asset Management LP Investment ManagersFinance Martingale seeks to exploit security mis-pricings based upon an analysis of underlying company fundamentals and risk properties. They offer strategies across the market capitalization spectrum from large-cap to small-cap, including core, growth and value mandates. The firm employs a risk-aware portfolio optimization approach to build portfolios. | Portföljförvaltare-Aktier | - |
Erfarenheter
Innehade positioner
Aktiva
Inaktiva
Börsnoterade företag
Privata företag
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Man
Kvinna
Styrelseledamöter
Chefer
Kopplade företag
| Privata företag | 4 |
|---|---|
Barra LLC
Barra LLC Packaged SoftwareTechnology Services Provides investment analytics, trading solutions and software to investment professions | Technology Services |
Martingale Asset Management LP
Martingale Asset Management LP Investment ManagersFinance Martingale seeks to exploit security mis-pricings based upon an analysis of underlying company fundamentals and risk properties. They offer strategies across the market capitalization spectrum from large-cap to small-cap, including core, growth and value mandates. The firm employs a risk-aware portfolio optimization approach to build portfolios. | Finance |
Freeman Investment Management Co. LLC
Freeman Investment Management Co. LLC Investment ManagersFinance Freeman Investment Management Co.'s investment approach is based on the idea that low volatility stocks offer higher risk-adjusted returns. The firm believes that while most of the equity market, as defined by the Russell 3000 Index, is efficiently priced, about one-third of it is not. They believe that investors are rarely, if ever, adequately compensated for the risk accompanying the most volatile stocks. The firm offers market beta, alternative beta and zero beta strategies. Their market beta strategies include: Large-Cap Core, Large-Cap Core Value and Large-Cap Value. Freeman's Alternative Beta strategies include: Efficient Value and Small-Cap Efficient Value. The firm's Zero Beta strategy is referred to as Fair Value. The firm's flagship market beta strategies, Large-Cap Core and Large-Cap Core Value, are benchmarked against the S&P 500 index and maintain a value bias while seeking to outperform the Russell 1000 without style restrictions. Their Large-Cap Value market beta strategy employs a pure value investment approach that is benchmarked against the Russell 1000. Freeman's Alternative Beta Efficient Value strategy invests in a portfolio of the most stable and fundamentally attractive stocks with low volatility/downside risk that offer much more compelling risk -adjusted returns than the benchmark. Their Alternative Beta Small-Cap Efficient Value strategy seeks to add value while simultaneously reducing exposure to uncompensated total volatility. Freeman's Zero Beta Fair Value investment strategy is a deep value, low beta strategy that seeks to capitalize on the respectively high and low risk-adjusted returns to low and high volatility stocks. Though not limited by sector, the firm tends to invest in the stocks of US companies in the finance, consumer non-durables and health technology sectors. Freeman invests across all market-caps. They maintain a high turnover rate. | Finance |
Freeman Associates Investment Management Co. LLC |
















