Profil
Mr. VanDerMeid is a Managing Director and Portfolio Manager of Monroe Capital.
He is responsible for managing the CLO portfolios and executing buy side transactions.
He joined the firm in 2007 and is a member of Monroe’s Investment Committee.
Mr. VanDerMeid has over 20 years of credit, lending and corporate finance experience.
Prior to joining Monroe, Vice President for Morgan Stanley Investment Management in the Van Kampen Asset Management Group, where he managed a portfolio of bank loans and also led the firm’s initiative to increase its presence with middle market lenders and private equity firms.
Prior to Morgan Stanley, Mr. VanDerMeid worked for Dymas Capital and Heller Financial where he originated, underwrote, and managed various middle-market debt transactions.
Mr. VanDerMeid earned his M.B.A. from Northwestern University’s Kellogg School of Business and his B.B.A. from the University of Michigan’s Ross School of Business.
Mr.VanDerMeid is a member of the Commercial Finance Association and the Turnaround Management Association.
Postes actifs de Jeremy VanDerMeid
| Sociétés | Poste | Début |
|---|---|---|
Monroe Capital LLC
Monroe Capital LLC Investment ManagersFinance Monroe Capital invests in lower middle market companies located in the United States and Canada with an EBITDA of USD 3 - 35 million. The firm targets companies operating across a broad range of sectors and industries. It provides financing in the form of equity and debt for leveraged recapitalization, growth and buyout transactions with an investment size of USD 300 million. The firm acquires controlling & non-controlling interests and also makes co-investments. | Private Equity Investor | 01/01/2007 |
Anciens postes connus de Jeremy VanDerMeid
| Sociétés | Poste | Fin |
|---|---|---|
Dymas Capital Management Co. LLC
Dymas Capital Management Co. LLC Investment ManagersFinance Dymas Capital Management invests in middle market companies located in the United States. The firm focuses on a broad range of sectors and industries. | Private Equity Investor | - |
Heller Financial, Inc.
Heller Financial, Inc. Finance/Rental/LeasingFinance Provides mercantile financing | Corporate Officer/Principal | - |
Van Kampen Asset Management
Van Kampen Asset Management Investment ManagersFinance Van Kampen Asset Management (VK) offers a variety of investment strategies that cover a range of investment styles, from domestic to international, fixed-income to equity and core to alternative investments. The firm's separately managed account strategies include: Core Equity, Growth Equity, International Growth Equity, Value and Value Equity. VK's Core Equity strategy employs a blended investment style. The strategy seeks to achieve consistently superior returns relative to the S&P 500 Index with a similar risk profile. VK uses a multifactor approach that employs a systematic stock selection process along with fundamental stock analysis and a comprehensive risk management approach. The firm's Growth Equity strategy seeks to achieve consistently superior returns relative to the Russell 1000 Growth Index with a similar risk profile. The strategy uses a multifactor approach that employs a systematic stock selection process along with fundamental stock analysis and a comprehensive risk management approach. The VK International Growth Equity strategy invests in a diversified portfolio of the equity securities of issuers located in countries other than the US. VK focuses on identifying the best companies from around the world that demonstrate true market leadership and significant growth characteristics. the firm employs a bottom-up stock selection process to identify market-leading companies with strong management teams, a clear business focus, competitive advantages and strong balance sheets. The firm's Value strategy is an actively managed strategy that offers clients the potential for capital growth and income. VK constructs portfolios of the stocks of well-established companies that are undervalued relative to other companies in their respective industries, historical prices or the overall market. They seek attractive companies that may be temporarily out-of-favor in the marketplace, but that have sound business fundamentals and are trading at prices are lower than the firm thinks they should be. VK's Value strategy is based on a deep-value investment discipline. They evaluate companies in different sectors and industries should according to different valuation measures, as they tend to vary in terms of earnings growth and balance sheet data. VK's process focuses on evaluating individual stocks, considering each company's business model, competitors and revenue streams in relation to other companies within a distinct industry. The firm's Value Equity strategy seeks to achieve consistently superior returns relative to the Russell 1000 Value Index with a similar risk profile. The strategy employs a multifactor approach that is based on a systematic stock selection process along with fundamental stock analysis and comprehensive risk management. Though not limited by sector, VK tends to invest in the stocks of companies in the finance, consumer services, health technology, electronic technology and energy minerals sectors. They invest globally, across all market-caps, with a focus on large-cap stocks. VK maintains a low turnover rate. | Corporate Officer/Principal | - |
Formation de Jeremy VanDerMeid
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
Relations
Relations au 1er degré
Entreprises liées au 1er degré
Homme
Femme
Administrateurs
Exécutifs
Sociétés liées
| Entreprise privées | 6 |
|---|---|
Heller Financial, Inc.
Heller Financial, Inc. Finance/Rental/LeasingFinance Provides mercantile financing | Finance |
Van Kampen Asset Management
Van Kampen Asset Management Investment ManagersFinance Van Kampen Asset Management (VK) offers a variety of investment strategies that cover a range of investment styles, from domestic to international, fixed-income to equity and core to alternative investments. The firm's separately managed account strategies include: Core Equity, Growth Equity, International Growth Equity, Value and Value Equity. VK's Core Equity strategy employs a blended investment style. The strategy seeks to achieve consistently superior returns relative to the S&P 500 Index with a similar risk profile. VK uses a multifactor approach that employs a systematic stock selection process along with fundamental stock analysis and a comprehensive risk management approach. The firm's Growth Equity strategy seeks to achieve consistently superior returns relative to the Russell 1000 Growth Index with a similar risk profile. The strategy uses a multifactor approach that employs a systematic stock selection process along with fundamental stock analysis and a comprehensive risk management approach. The VK International Growth Equity strategy invests in a diversified portfolio of the equity securities of issuers located in countries other than the US. VK focuses on identifying the best companies from around the world that demonstrate true market leadership and significant growth characteristics. the firm employs a bottom-up stock selection process to identify market-leading companies with strong management teams, a clear business focus, competitive advantages and strong balance sheets. The firm's Value strategy is an actively managed strategy that offers clients the potential for capital growth and income. VK constructs portfolios of the stocks of well-established companies that are undervalued relative to other companies in their respective industries, historical prices or the overall market. They seek attractive companies that may be temporarily out-of-favor in the marketplace, but that have sound business fundamentals and are trading at prices are lower than the firm thinks they should be. VK's Value strategy is based on a deep-value investment discipline. They evaluate companies in different sectors and industries should according to different valuation measures, as they tend to vary in terms of earnings growth and balance sheet data. VK's process focuses on evaluating individual stocks, considering each company's business model, competitors and revenue streams in relation to other companies within a distinct industry. The firm's Value Equity strategy seeks to achieve consistently superior returns relative to the Russell 1000 Value Index with a similar risk profile. The strategy employs a multifactor approach that is based on a systematic stock selection process along with fundamental stock analysis and comprehensive risk management. Though not limited by sector, VK tends to invest in the stocks of companies in the finance, consumer services, health technology, electronic technology and energy minerals sectors. They invest globally, across all market-caps, with a focus on large-cap stocks. VK maintains a low turnover rate. | Finance |
University of Michigan
University of Michigan Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Dymas Capital Management Co. LLC
Dymas Capital Management Co. LLC Investment ManagersFinance Dymas Capital Management invests in middle market companies located in the United States. The firm focuses on a broad range of sectors and industries. | Finance |
Monroe Capital LLC
Monroe Capital LLC Investment ManagersFinance Monroe Capital invests in lower middle market companies located in the United States and Canada with an EBITDA of USD 3 - 35 million. The firm targets companies operating across a broad range of sectors and industries. It provides financing in the form of equity and debt for leveraged recapitalization, growth and buyout transactions with an investment size of USD 300 million. The firm acquires controlling & non-controlling interests and also makes co-investments. | Finance |
Kellogg School of Management
Kellogg School of Management Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
















