Profil
Mr. Ivan S.
Cliff is an Executive Vice President & Director of Research at Callan LLC.
He is responsible for the Global Manager Research and Capital Markets Research groups.
He is the chair of Callan’s Alternatives Review Committee, and a member of the Management, Client Policy Review, and Institute Advisory committees.
Mr. Cliff is also a portfolio manager and member of the investment committee that oversees all of Callan’s discretionary multi-manager solutions.
He is a shareholder of the firm.
Mr. Cliff joined the programming group of Callan in 1989 and was instrumental in developing sophisticated performance analytics, as well as solutions to data processing and management problems.
In 1993, he became the manager of the database group, coordinating the design and implementation of performance measurement operations and overseeing the development and maintenance of Callan’s databases.
Mr. Cliff was made Director of Operations in 2000 to manage and develop all Callan’s performance monitoring systems and personnel.
In 2007, he became the Director of Investment Research and Operations with responsibilities expanded to include oversight of Callan’s global manager research activities.
Prior to joining Callan, Mr. Cliff worked for two years at Gifford Fong Associates developing analytical software for fixed income money managers.
He earned a BA in economics from the University of California, Berkeley, and is a holder of the right to use the Chartered Financial Analyst designation.
Postes actifs de Butch Cliff
| Sociétés | Poste | Début |
|---|---|---|
Callan LLC
Callan LLC Investment ManagersFinance Callan applies a process-driven approach to building efficient, low cost portfolios. All portfolios are built on the basis of a clearly articulated top-down approach that is grounded in academic or empirical research. This top-down discipline creates a set of portfolio construction rules for every portfolio which help to take the emotion out of the manager selection and rebalancing process. | Directeur de la Recherche - Actions | 01/01/2007 |
Anciens postes connus de Butch Cliff
| Sociétés | Poste | Fin |
|---|---|---|
Gifford Fong Associates, Inc.
Gifford Fong Associates, Inc. Investment ManagersFinance GFA follows a disciplined quantitative investment philosophy and utilizes an advanced optimization model for examining the risk exposures and characteristics of managed portfolios. The method of analysis they use is quantitatively driven, highly risk controlled approach designed to achieve incremental return over and above a specified benchmark. This strategy is based on the highest quality investment technology for portfolio structuring. The process employed can customize the product to achieve a wide range of risk exposures and equity mandate objectives. | Corporate Officer/Principal | 31/12/1988 |
Formation de Butch Cliff
Expériences
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Sociétés cotées
Entreprise privées
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Relations au 1er degré
Entreprises liées au 1er degré
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Sociétés liées
| Entreprise privées | 3 |
|---|---|
Callan LLC
Callan LLC Investment ManagersFinance Callan applies a process-driven approach to building efficient, low cost portfolios. All portfolios are built on the basis of a clearly articulated top-down approach that is grounded in academic or empirical research. This top-down discipline creates a set of portfolio construction rules for every portfolio which help to take the emotion out of the manager selection and rebalancing process. | Finance |
University of California, Berkeley
University of California, Berkeley Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Gifford Fong Associates, Inc.
Gifford Fong Associates, Inc. Investment ManagersFinance GFA follows a disciplined quantitative investment philosophy and utilizes an advanced optimization model for examining the risk exposures and characteristics of managed portfolios. The method of analysis they use is quantitatively driven, highly risk controlled approach designed to achieve incremental return over and above a specified benchmark. This strategy is based on the highest quality investment technology for portfolio structuring. The process employed can customize the product to achieve a wide range of risk exposures and equity mandate objectives. | Finance |
















