Profil
Mr. Rob N.
Felice is a Portfolio Manager at Catapult Capital Management LLC.
Prior to joining Catapult Capital, Mr. Felice was a Director of Investments at Prudential Investment Management, a Research Analyst at Gabelli & Co., Inc., a Portfolio Manager at Seix Investment Advisors LLC, and an Analyst at J.
Goldman & Co. LP.
Mr. Felice received a BSBA in Finance from Villanova University and an MBA in Finance from New York University.
Anciens postes connus de Rob N. Felice
| Sociétés | Poste | Fin |
|---|---|---|
G.research LLC
G.research LLC Investment Banks/BrokersFinance Provides brokerage services | Analyst-Equity | 15/07/2009 |
Virtus Fixed Income Advisers LLC
Virtus Fixed Income Advisers LLC Investment ManagersFinance VFIA is an active bond manager who believes that the market offers potential opportunities for returns to investors who understand and correctly value Fixed Income securities. The firm focuses their management efforts on the bottom-up principle of security selection along with top-down strategies for sector allocation and yield curve structure using rigorous fundamental research as well as a series of proprietary and third-party tools to identify value. Their diversified portfolios of well-researched companies, value-added security structures and sector rotation seek to provide attractive spreads above the benchmark, regardless of the level or direction of interest rates, at controlled risk levels. | Portfolio Manager-Fixed Income | 06/02/2006 |
Catapult Capital Management LLC
Catapult Capital Management LLC Investment ManagersFinance Catapult Capital invests primarily in the North American capital markets. The firm employs multiple portfolio managers with specialized expertise in particular sectors, industry groups, or financial products. Portfolio managers are generally making investments based on detailed fundamental analysis of the industry, company, or products. Within their particular specializations, the managers and their teams of analysts determine the optimal mix of instruments on a relative value basis, aiming to maximize return while minimizing direct market exposure and controlling risk. Using this approach, the firm seeks superior risk-adjusted returns while minimizing correlation to the overall market or specific investment sectors. Catapult Capital has in place risk management processes to achieve portfolio diversification with defined parameters for each portfolio manager. | Gestionnaire de Portefeuille-Actions | - |
J. Goldman & Co. LP
J. Goldman & Co. LP Investment ManagersFinance JGC seeks to achieve attractive risk-adjusted returns in all market conditions with low correlation and low volatility primarily through short-term trading in the equity and options markets. Their investment philosophy is based upon fundamental analysis, a comprehensive understanding of the capital markets and disciplined execution on investment ideas. The firm employs a rigorous process to identify, evaluate and allocate capital to the best ideas of its investment professionals. | Analyst-Equity | - |
PGIM, Inc.
PGIM, Inc. Investment ManagersFinance PGIM relies on quantitative and qualitative factors when providing portfolio-level investment advice to a client. The firm focuses on consistent performance, rigorous risk management and long-term client relationships. | Head-Fixed Income Invts | - |
Formation de Rob N. Felice
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 | 7 |
|---|---|
PGIM, Inc.
PGIM, Inc. Investment ManagersFinance PGIM relies on quantitative and qualitative factors when providing portfolio-level investment advice to a client. The firm focuses on consistent performance, rigorous risk management and long-term client relationships. | Finance |
J. Goldman & Co. LP
J. Goldman & Co. LP Investment ManagersFinance JGC seeks to achieve attractive risk-adjusted returns in all market conditions with low correlation and low volatility primarily through short-term trading in the equity and options markets. Their investment philosophy is based upon fundamental analysis, a comprehensive understanding of the capital markets and disciplined execution on investment ideas. The firm employs a rigorous process to identify, evaluate and allocate capital to the best ideas of its investment professionals. | Finance |
G.research LLC
G.research LLC Investment Banks/BrokersFinance Provides brokerage services | Finance |
Virtus Fixed Income Advisers LLC
Virtus Fixed Income Advisers LLC Investment ManagersFinance VFIA is an active bond manager who believes that the market offers potential opportunities for returns to investors who understand and correctly value Fixed Income securities. The firm focuses their management efforts on the bottom-up principle of security selection along with top-down strategies for sector allocation and yield curve structure using rigorous fundamental research as well as a series of proprietary and third-party tools to identify value. Their diversified portfolios of well-researched companies, value-added security structures and sector rotation seek to provide attractive spreads above the benchmark, regardless of the level or direction of interest rates, at controlled risk levels. | Finance |
New York University
New York University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Villanova University
Villanova University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Catapult Capital Management LLC
Catapult Capital Management LLC Investment ManagersFinance Catapult Capital invests primarily in the North American capital markets. The firm employs multiple portfolio managers with specialized expertise in particular sectors, industry groups, or financial products. Portfolio managers are generally making investments based on detailed fundamental analysis of the industry, company, or products. Within their particular specializations, the managers and their teams of analysts determine the optimal mix of instruments on a relative value basis, aiming to maximize return while minimizing direct market exposure and controlling risk. Using this approach, the firm seeks superior risk-adjusted returns while minimizing correlation to the overall market or specific investment sectors. Catapult Capital has in place risk management processes to achieve portfolio diversification with defined parameters for each portfolio manager. | Finance |
















