Profil
Alan I.
Kirshner is the founder of Markel Group, Inc. Mr. Kirshner was Chairman & Chief Executive Officer at Markel-Gayner Asset Management LLC.
Mr. Kirshner was Director at Terra Nova Bermuda Holding Ltd.
Ehemalige bekannte Positionen von Alan Kirshner
| Unternehmen | Position | Ende |
|---|---|---|
| MARKEL GROUP INC. | Vorstandsvorsitzender | 01.01.2015 |
Terra Nova Bermuda Holding Ltd.
Terra Nova Bermuda Holding Ltd. Property/Casualty InsuranceFinance Provides specialty property, casualty, and marine insurance and reinsurance services | Direktor/Vorstandsmitglied | - |
Markel-Gayner Asset Management LLC
Markel-Gayner Asset Management LLC Investment ManagersFinance MGAM manages portfolios of publicly traded securities, which consist primarily of common stocks, but may also include other securities, such as ETFs, money funds and other cash accounts, preferred stocks, bonds, debentures, warrants and options. The firm employs fundamental research to identify securities issued by attractive businesses, whose affairs are managed by honest and talented management, that exhibit reinvestment opportunities and capital discipline, and where those securities are selling at reasonable prices. Their investment horizon is long-term and they expect relatively low portfolio turnover. On occasion, the firm may pursue other strategies such as risk arbitrage, spin-offs, and companies in bankruptcy, and hedging. | Vorsitzender | - |
Erfahrungen
Besetzte Positionen
Aktive
Inaktive
Börsennotierte Unternehmen
Private Unternehmen
Unternehmensverbindungen
| Private Unternehmen | 3 |
|---|---|
Markel Group, Inc.
Markel Group, Inc. Property/Casualty InsuranceFinance Provides property and casualty insurance services | Finance |
Terra Nova Bermuda Holding Ltd.
Terra Nova Bermuda Holding Ltd. Property/Casualty InsuranceFinance Provides specialty property, casualty, and marine insurance and reinsurance services | Finance |
Markel-Gayner Asset Management LLC
Markel-Gayner Asset Management LLC Investment ManagersFinance MGAM manages portfolios of publicly traded securities, which consist primarily of common stocks, but may also include other securities, such as ETFs, money funds and other cash accounts, preferred stocks, bonds, debentures, warrants and options. The firm employs fundamental research to identify securities issued by attractive businesses, whose affairs are managed by honest and talented management, that exhibit reinvestment opportunities and capital discipline, and where those securities are selling at reasonable prices. Their investment horizon is long-term and they expect relatively low portfolio turnover. On occasion, the firm may pursue other strategies such as risk arbitrage, spin-offs, and companies in bankruptcy, and hedging. | Finance |
















