Profil
Mr. Lloyd Andrew Brown, CFA MBA, is a Portfolio Manager & Trader at Argent Sector Capital Management LLC.
He joined Argent Sector Capital in April 2011 following the acquisition of Sector Capital by Argent Financial Group, Inc.
Prior to joining Argent Sector Capital, Mr. Brown worked for Credit Suisse Securities in New York and London as a member of the Asset Finance Capital Market Group from September 2003 to March 2009.
Prior to Credit Suisse, he worked for Prudential Securities in New York and Atlanta as an investment grade corporate bond analyst, strategist and salesperson from March 1996 to March 2001.
Prior to Prudential Securities, he worked for Premier Bank in Baton Rouge, Louisiana in the Commercial Credit Analyst Training Program from September 1993 to August 1995.
Mr. Brown received a Masters of Business Administration from the Owen School of Management at Vanderbilt University and a Bachelors of Business Administration from the University of Mississippi.
In addition, he is a Chartered Financial Analyst.
Anciens postes connus de Lloyd Andrew Brown
| Sociétés | Poste | Fin |
|---|---|---|
Sector Capital Management LLC
Sector Capital Management LLC Investment ManagersFinance Argent Sector Capital Management employs a disciplined and objective 'quantimental' investment process that is based primarily on a quantitatively structured bottom-up fundamental approach. The firm utilizes a proprietary pricing model called 'sector matrix' to drive their 'quantimental' analysis. Argent Sector believes the most important factors in stock selection are: earnings growth, price, liquidity and safety (reduced risk for decline in value). Through a thorough evaluation of each of these factors, the firm seeks to provide high-quality portfolios demonstrating consistent added-value performance over their respective benchmarks. Argent Capital employs a disciplined, objective investment process that is based primarily on quantitative analysis of fundamental and technical factors. Through a quantitative, formula-driven evaluation of stock price versus earnings growth, the firm is able to identify and select quality stocks trading at a discount relative to the present value of future earnings. This results in companies with high S&P and analyst ratings that have achieved superior earnings growth with relatively low P/E ratios. In addition to stock selection, the formula also encompasses a built-in sell discipline. The quantitative nature of the formula allows Argent Capital to have a disciplined approach that is objective and repeatable over time. Their portfolios are reconstituted at least quarterly and rebalanced as needed. Argent Sector offers a variety of investment products including US Equities, International / Global Strategies, Socially Responsible (SRI) Strategies and Passive Plus. | Portfolio Manager-Fixed Income | 31/05/2013 |
Sector Capital Management LLC (Old)
Sector Capital Management LLC (Old) Investment ManagersFinance Sector Capital Management's investment process focuses on earnings growth, price, liquidity and safety (defined as reduced risk for decline in value). They strive to provide high-quality portfolios that have consistent added-value performance over the S&P 500 Index. Sector Capital's investment process is based primarily on a quantitative analysis of fundamental and technical factors. Through a quantitative, formula-driven evaluation of stock price versus earnings growth, they identify stocks that are trading at a discount relative to the present value of future earnings. This results in companies with high S&P and analyst ratings that have achieved superior earnings growth with relatively low P/E ratios. The formula also encompasses a built-in sell discipline. Their portfolios are reconstituted at least quarterly and rebalanced as needed. They offer several portfolios including Sector Plus, Sector Select, PathFinder and Mid-Cap. The Sector Plus strategy is a mixed-cap strategy that consists primarily of large-cap stocks with mid-cap stocks making up to, but no more than 30% of the portfolio. The Sector Select strategy is a large-cap strategy. The PathFinder strategy is a socially responsible, mixed-cap strategy that consists primarily of large-cap stocks with mid-cap stocks making up to, but no more than 30% of the portfolio. | Gestionnaire de Portefeuille-Actions | 31/03/2011 |
Credit Suisse Securities (USA) LLC
Credit Suisse Securities (USA) LLC Regional BanksFinance Provides investment banking, asset management and securities brokerage services | Corporate Officer/Principal | 01/03/2009 |
Prudential Securities
Prudential Securities Investment Banks/BrokersFinance Provides brokerage services | Corporate Officer/Principal | 01/03/2001 |
Premier Bank, NA (Baton Rouge, Louisiana)
Premier Bank, NA (Baton Rouge, Louisiana) Major BanksFinance Nationally chartered commercial bank | Corporate Officer/Principal | 01/08/1995 |
Formation de Lloyd Andrew Brown
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Inactives
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Entreprise privées
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Relations au 1er degré
Entreprises liées au 1er degré
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Sociétés liées
| Entreprise privées | 7 |
|---|---|
Prudential Securities
Prudential Securities Investment Banks/BrokersFinance Provides brokerage services | Finance |
Sector Capital Management LLC (Old)
Sector Capital Management LLC (Old) Investment ManagersFinance Sector Capital Management's investment process focuses on earnings growth, price, liquidity and safety (defined as reduced risk for decline in value). They strive to provide high-quality portfolios that have consistent added-value performance over the S&P 500 Index. Sector Capital's investment process is based primarily on a quantitative analysis of fundamental and technical factors. Through a quantitative, formula-driven evaluation of stock price versus earnings growth, they identify stocks that are trading at a discount relative to the present value of future earnings. This results in companies with high S&P and analyst ratings that have achieved superior earnings growth with relatively low P/E ratios. The formula also encompasses a built-in sell discipline. Their portfolios are reconstituted at least quarterly and rebalanced as needed. They offer several portfolios including Sector Plus, Sector Select, PathFinder and Mid-Cap. The Sector Plus strategy is a mixed-cap strategy that consists primarily of large-cap stocks with mid-cap stocks making up to, but no more than 30% of the portfolio. The Sector Select strategy is a large-cap strategy. The PathFinder strategy is a socially responsible, mixed-cap strategy that consists primarily of large-cap stocks with mid-cap stocks making up to, but no more than 30% of the portfolio. | Finance |
Vanderbilt University
Vanderbilt University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Premier Bank, NA (Baton Rouge, Louisiana)
Premier Bank, NA (Baton Rouge, Louisiana) Major BanksFinance Nationally chartered commercial bank | Finance |
University of Mississippi
University of Mississippi Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Credit Suisse Securities (USA) LLC
Credit Suisse Securities (USA) LLC Regional BanksFinance Provides investment banking, asset management and securities brokerage services | Finance |
Sector Capital Management LLC
Sector Capital Management LLC Investment ManagersFinance Argent Sector Capital Management employs a disciplined and objective 'quantimental' investment process that is based primarily on a quantitatively structured bottom-up fundamental approach. The firm utilizes a proprietary pricing model called 'sector matrix' to drive their 'quantimental' analysis. Argent Sector believes the most important factors in stock selection are: earnings growth, price, liquidity and safety (reduced risk for decline in value). Through a thorough evaluation of each of these factors, the firm seeks to provide high-quality portfolios demonstrating consistent added-value performance over their respective benchmarks. Argent Capital employs a disciplined, objective investment process that is based primarily on quantitative analysis of fundamental and technical factors. Through a quantitative, formula-driven evaluation of stock price versus earnings growth, the firm is able to identify and select quality stocks trading at a discount relative to the present value of future earnings. This results in companies with high S&P and analyst ratings that have achieved superior earnings growth with relatively low P/E ratios. In addition to stock selection, the formula also encompasses a built-in sell discipline. The quantitative nature of the formula allows Argent Capital to have a disciplined approach that is objective and repeatable over time. Their portfolios are reconstituted at least quarterly and rebalanced as needed. Argent Sector offers a variety of investment products including US Equities, International / Global Strategies, Socially Responsible (SRI) Strategies and Passive Plus. | Finance |
















