Profil
Andrew Kaneb worked as a Vice President, Research Director & Analyst at Cullen Capital Management LLC.
He also worked as an Analyst at Tremont Capital Management, Inc. and Schafer Cullen Capital Management, Inc. Additionally, he served as the Director of Strategic Planning at Sega Gaming Technology, Inc. in 1999.
Ehemalige bekannte Positionen von Andrew Kaneb
| Unternehmen | Position | Ende |
|---|---|---|
Sega Gaming Technology, Inc.
Sega Gaming Technology, Inc. Recreational ProductsConsumer Durables Manufactures and markets gaming machines | Corporate Officer/Principal | 01.01.1999 |
Cullen Capital Management LLC
Cullen Capital Management LLC Investment ManagersFinance SCCM manages a variety of value-based strategies. Each begins with the basic discipline of buying companies with low price to earnings (P/E) and/or price to book (P/B) value ratios. In addition, several of the strategies employ an additional discipline of above-average dividend yield and dividend growth potential. Each of the strategies is designed with a long-term outlook, typically three to five years. Their investment decision-making process is bottom-up. | Analyst-Equity | - |
Schafer Cullen Capital Management, Inc.
Schafer Cullen Capital Management, Inc. Investment ManagersFinance SCCM identifies investments they believe are undervalued in the marketplace by utilizing a combination of outside research and their own fundamental and technical analysis as performed by their in-house investment research staff. They use bottom-up approach for their general investment decision-making. The firm manages client accounts according to a variety of value-based strategies. Each strategy begins with the basic discipline of buying companies with low price to earnings (P/E) and/or price to book (P/B) value ratios. In addition, several of the strategies employ an additional discipline of above-average dividend yield and dividend growth potential. Each of the strategies is designed with a long-term outlook, typically three to five years. | Analyst-Equity | - |
Tremont Group Holdings, Inc.
Tremont Group Holdings, Inc. Investment ManagersFinance Tremont's investment approach begins with a focus on strategy allocation. While hedge funds are not as liquid and transparent as traditional asset classes, Tremont believes that asset allocation, as represented by strategy selection, plays an important part in the generation of superior returns. The firm selects managers for their funds of hedge funds from the pool of available managers that have passed through their multi-stage due diligence process. In order to screen through and organize the sizable universe of hedge funds, their analysts utilize their Tremont Investment Management System, a comprehensive, proprietary database that enables them to capture both qualitative and performance-based quantitative information on hedge fund managers and to compare managers to their peer groups using underlying TASS data. Tremont collaborated with RiskMetrics in co-developing an analytical platform that offers managers the opportunity to report their risk exposures to RiskMetrics HedgePlatform without divulging their positions. In turn, RiskMetrics HedgePlatform has developed a myriad of risk reports based on position level information, including portfolio concentration analysis, leverage and liquidity analysis, sector, currency and geographic breakdowns, scenario and stress testing and other metrics including Value at Risk. | Analyst-Equity | - |
Erfahrungen
Besetzte Positionen
Aktive
Inaktive
Börsennotierte Unternehmen
Private Unternehmen
Beziehungen
Beziehungen ersten Grades
Unternehmen ersten Grades
Herr
Frau
Aufsichtsräte
Führungskräfte
Unternehmensverbindungen
| Private Unternehmen | 4 |
|---|---|
Tremont Group Holdings, Inc.
Tremont Group Holdings, Inc. Investment ManagersFinance Tremont's investment approach begins with a focus on strategy allocation. While hedge funds are not as liquid and transparent as traditional asset classes, Tremont believes that asset allocation, as represented by strategy selection, plays an important part in the generation of superior returns. The firm selects managers for their funds of hedge funds from the pool of available managers that have passed through their multi-stage due diligence process. In order to screen through and organize the sizable universe of hedge funds, their analysts utilize their Tremont Investment Management System, a comprehensive, proprietary database that enables them to capture both qualitative and performance-based quantitative information on hedge fund managers and to compare managers to their peer groups using underlying TASS data. Tremont collaborated with RiskMetrics in co-developing an analytical platform that offers managers the opportunity to report their risk exposures to RiskMetrics HedgePlatform without divulging their positions. In turn, RiskMetrics HedgePlatform has developed a myriad of risk reports based on position level information, including portfolio concentration analysis, leverage and liquidity analysis, sector, currency and geographic breakdowns, scenario and stress testing and other metrics including Value at Risk. | Finance |
Schafer Cullen Capital Management, Inc.
Schafer Cullen Capital Management, Inc. Investment ManagersFinance SCCM identifies investments they believe are undervalued in the marketplace by utilizing a combination of outside research and their own fundamental and technical analysis as performed by their in-house investment research staff. They use bottom-up approach for their general investment decision-making. The firm manages client accounts according to a variety of value-based strategies. Each strategy begins with the basic discipline of buying companies with low price to earnings (P/E) and/or price to book (P/B) value ratios. In addition, several of the strategies employ an additional discipline of above-average dividend yield and dividend growth potential. Each of the strategies is designed with a long-term outlook, typically three to five years. | Finance |
Cullen Capital Management LLC
Cullen Capital Management LLC Investment ManagersFinance SCCM manages a variety of value-based strategies. Each begins with the basic discipline of buying companies with low price to earnings (P/E) and/or price to book (P/B) value ratios. In addition, several of the strategies employ an additional discipline of above-average dividend yield and dividend growth potential. Each of the strategies is designed with a long-term outlook, typically three to five years. Their investment decision-making process is bottom-up. | Finance |
Sega Gaming Technology, Inc.
Sega Gaming Technology, Inc. Recreational ProductsConsumer Durables Manufactures and markets gaming machines | Consumer Durables |
















