Profil
Christi Fletcher worked as an Analyst at Rydex Advisors LLC.
She then worked as a Portfolio Manager at Security Investors LLC from 2004 to 2010.
From 2010 to 2018, she worked as a Portfolio Manager at Northern Trust Investments, Inc. Ms. Fletcher received an undergraduate degree from Missouri State University.
Anciens postes connus de Christi Fletcher
| Sociétés | Poste | Fin |
|---|---|---|
Northern Trust Investments, Inc.(Investment Management)
Northern Trust Investments, Inc.(Investment Management) Investment ManagersFinance NTI-IM employs a variety of security analysis methods in providing investment advisory services. The firm applies quantitative analysis methodologies in creating overlay investment strategies. Each investment strategy of the firm is managed by a team comprised of portfolio managers and investment analysts. Their asset class capabilities include equity, fixed income, liquidity and asset allocation. Strategy implementation ranges from passive and factor-based quantitative, to fundamental active and multi-manager. | Portfolio Manager-Fixed Income | 01/09/2018 |
Security Investors LLC
Security Investors LLC Investment ManagersFinance Security Investors seeks to achieve superior risk-adjusted returns through investments in domestic equities, global equities, fixed-income securities and alternative investments. The firm's domestic equity strategy follows a value-oriented approach and target companies where the stock price does not reflect their internal assessment of intrinsic value, based on their assessment of long-term fundamental expectations and/or risk profile. Their global equity strategy employs a bottom-up stock selection process in a global context. Security Investors fixed-income strategy focuses on the selection of issues based on both structure and credit. They employ top-down decision-making, fundamental analysis and rigorous management of credit risk. | Portfolio Manager-Fixed Income | 31/05/2010 |
Rydex Advisors LLC
Rydex Advisors LLC Investment ManagersFinance Rydex Advisors offers institutional investors and financial intermediaries a wide variety of traditional and non-traditional investment products across 5 five distinct disciplines: (1) actively managed specialty fixed-income (2) value (3) growth (4) global equity and (5) quantitative. The firm employs a rigorous investment strategy in managing all of their funds. PADCO Advisors' benchmark funds seek to provide investment returns that correspond to the performance of a specific benchmark. Their sector funds are managed by teams who employ a quantitative model to select stocks and strive to be fully invested in their respective sectors. The firm's quantitative model involves screening stocks based on market-cap, liquidity and correlation relative to the entire industry sector. PADCO Advisors' quantitative strategy ranks stocks by market-cap and liquidity. For sector funds, the firm also considers the stock's correlation to the sector. The firm also utilizes long/short hedging methods and leveraging in some of their mutual funds. Though not limited by sector, PADCO Advisors tends to invest in the stocks of mid-cap and large-cap US companies in the electronic technology, technology services, healthcare technology, finance and non-energy minerals sectors. | Corporate Officer/Principal | - |
Formation de Christi Fletcher
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
Relations
Relations au 1er degré
Entreprises liées au 1er degré
Homme
Femme
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Sociétés liées
| Entreprise privées | 4 |
|---|---|
Rydex Advisors LLC
Rydex Advisors LLC Investment ManagersFinance Rydex Advisors offers institutional investors and financial intermediaries a wide variety of traditional and non-traditional investment products across 5 five distinct disciplines: (1) actively managed specialty fixed-income (2) value (3) growth (4) global equity and (5) quantitative. The firm employs a rigorous investment strategy in managing all of their funds. PADCO Advisors' benchmark funds seek to provide investment returns that correspond to the performance of a specific benchmark. Their sector funds are managed by teams who employ a quantitative model to select stocks and strive to be fully invested in their respective sectors. The firm's quantitative model involves screening stocks based on market-cap, liquidity and correlation relative to the entire industry sector. PADCO Advisors' quantitative strategy ranks stocks by market-cap and liquidity. For sector funds, the firm also considers the stock's correlation to the sector. The firm also utilizes long/short hedging methods and leveraging in some of their mutual funds. Though not limited by sector, PADCO Advisors tends to invest in the stocks of mid-cap and large-cap US companies in the electronic technology, technology services, healthcare technology, finance and non-energy minerals sectors. | Finance |
Security Investors LLC
Security Investors LLC Investment ManagersFinance Security Investors seeks to achieve superior risk-adjusted returns through investments in domestic equities, global equities, fixed-income securities and alternative investments. The firm's domestic equity strategy follows a value-oriented approach and target companies where the stock price does not reflect their internal assessment of intrinsic value, based on their assessment of long-term fundamental expectations and/or risk profile. Their global equity strategy employs a bottom-up stock selection process in a global context. Security Investors fixed-income strategy focuses on the selection of issues based on both structure and credit. They employ top-down decision-making, fundamental analysis and rigorous management of credit risk. | Finance |
Northern Trust Investments, Inc.(Investment Management)
Northern Trust Investments, Inc.(Investment Management) Investment ManagersFinance NTI-IM employs a variety of security analysis methods in providing investment advisory services. The firm applies quantitative analysis methodologies in creating overlay investment strategies. Each investment strategy of the firm is managed by a team comprised of portfolio managers and investment analysts. Their asset class capabilities include equity, fixed income, liquidity and asset allocation. Strategy implementation ranges from passive and factor-based quantitative, to fundamental active and multi-manager. | Finance |
Missouri State University
Missouri State University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
















