Profil
Sandra K.
Jones worked as a Senior Portfolio Manager at Mellon Financial Corp.
from 2001 to 2006.
Prior to that, she was a Portfolio Manager at Bank of America, NA from 1989 to 1999.
She also worked as a Senior Investment Officer at Perkins Coie Capital Management LLC and Perkins Coie Trust Co. LLC.
Ms. Jones received her undergraduate degree from the University of Washington in 1986.
Ehemalige bekannte Positionen von Sandra K. Jones
| Unternehmen | Position | Ende |
|---|---|---|
Perkins Coie Trust Co. LLC
Perkins Coie Trust Co. LLC Investment ManagersFinance PCTC aims to ensure that the trusts they establish and the assets they manage on behalf of their clients meet the clients’ objectives and will stand the test of time. | Portfolio Manager-Aktien | 01.04.2019 |
Perkins Coie Capital Management LLC
Perkins Coie Capital Management LLC Investment ManagersFinance Perkins Coie uses principles of asset allocation and tax-intelligent investing in to build diversified portfolios and to manage risk and tax consequences. They look for attractively valued investment opportunities in quality stocks and bonds across a range of geographic regions, sectors and industries. The firm's core equity strategy invests in large, well-established companies to provide long-term capital growth. Their security selection process identifies companies that are currently undervalued relative to expected long-term growth in earnings or enterprise value. Perkins Coie reduces risk through diligent company analysis and strategic sector allocation. They also employ a strict sell discipline. As appropriate to each portfolio, they add securities of small, medium-sized or foreign companies to enhance returns and reduce risk. Managers are selected who are specialists in these styles and they are continually monitored by the firm for consistency, tax efficiency and performance. Perkins Coie's diversified fixed-income portfolios are created specifically for each client's risk tolerance, income needs, time horizon and tax situation. They actively manage the portfolios to achieve superior risk-adjusted returns. Perkins Coie prefers to invest in intermediate-term bonds. Portfolios are diversified across sector, maturity and credit quality to provide a steady income, to control risk and to preserve flexibility. To meet clients' specific cash requirements and to provide liquidity and preserve principal, the firm invests cash in high quality, short-term money market funds. | Portfolio Manager-Aktien | 30.09.2010 |
Mellon Financial Corp.
Mellon Financial Corp. Investment ManagersFinance Provides financial services | Corporate Officer/Principal | 31.12.2006 |
Bank of America, NA (Charlotte, North Carolina)
Bank of America, NA (Charlotte, North Carolina) Major BanksFinance Operates as a nationally chartered commercial bank | Corporate Officer/Principal | 31.12.1999 |
Ausbildung von Sandra K. Jones
Erfahrungen
Besetzte Positionen
Aktive
Inaktive
Börsennotierte Unternehmen
Private Unternehmen
Beziehungen
Beziehungen ersten Grades
Unternehmen ersten Grades
Herr
Frau
Aufsichtsräte
Führungskräfte
Unternehmensverbindungen
| Private Unternehmen | 5 |
|---|---|
Mellon Financial Corp.
Mellon Financial Corp. Investment ManagersFinance Provides financial services | Finance |
University of Washington
University of Washington Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Perkins Coie Capital Management LLC
Perkins Coie Capital Management LLC Investment ManagersFinance Perkins Coie uses principles of asset allocation and tax-intelligent investing in to build diversified portfolios and to manage risk and tax consequences. They look for attractively valued investment opportunities in quality stocks and bonds across a range of geographic regions, sectors and industries. The firm's core equity strategy invests in large, well-established companies to provide long-term capital growth. Their security selection process identifies companies that are currently undervalued relative to expected long-term growth in earnings or enterprise value. Perkins Coie reduces risk through diligent company analysis and strategic sector allocation. They also employ a strict sell discipline. As appropriate to each portfolio, they add securities of small, medium-sized or foreign companies to enhance returns and reduce risk. Managers are selected who are specialists in these styles and they are continually monitored by the firm for consistency, tax efficiency and performance. Perkins Coie's diversified fixed-income portfolios are created specifically for each client's risk tolerance, income needs, time horizon and tax situation. They actively manage the portfolios to achieve superior risk-adjusted returns. Perkins Coie prefers to invest in intermediate-term bonds. Portfolios are diversified across sector, maturity and credit quality to provide a steady income, to control risk and to preserve flexibility. To meet clients' specific cash requirements and to provide liquidity and preserve principal, the firm invests cash in high quality, short-term money market funds. | Finance |
Bank of America, NA (Charlotte, North Carolina)
Bank of America, NA (Charlotte, North Carolina) Major BanksFinance Operates as a nationally chartered commercial bank | Finance |
Perkins Coie Trust Co. LLC
Perkins Coie Trust Co. LLC Investment ManagersFinance PCTC aims to ensure that the trusts they establish and the assets they manage on behalf of their clients meet the clients’ objectives and will stand the test of time. | Finance |
















