Profil
Thomas D.
Lyon is a professional with current positions as a Board of Directors member at Pasadena Angels, Inc. since 2017 and as a Director at Vinergy, Inc. since 2022.
He previously worked as a Managing Director at TCW Asset Management Co. LLC from 1997 to 2013, as a Senior Vice President at TCW Strategic Income Fund, Inc., as a Principal at MUFG Union Bank, NA, and as a Vice President at Transamerica Investment Management LLC from 1990 to 1997.
Lyon received his undergraduate degree from the University of Southern California in 1981 and his MBA from Claremont Graduate University in 1989.
Postes actifs de Thomas D. Lyon
| Sociétés | Poste | Début |
|---|---|---|
Pasadena Angels, Inc.
Pasadena Angels, Inc. Investment ManagersFinance Pasadena Angels invests in companies located in the United States and Canada, primarily in Southern California. The firm targets companies operating in the field of technology sector. It provides financing in the form of equity for seed and early stage capital requirements with an investment size of USD 0.1 - 1 million. | Directeur/Membre du Conseil | 01/01/2020 |
Vinergy, Inc.
Vinergy, Inc. Department StoresRetail Trade Operates as an online store that sells and rents agricultural machinery | Directeur/Membre du Conseil | 01/07/2022 |
Anciens postes connus de Thomas D. Lyon
| Sociétés | Poste | Fin |
|---|---|---|
TCW Asset Management Co. LLC
TCW Asset Management Co. LLC Investment ManagersFinance TCW maintains a value-oriented investment approach and their investment process focuses on preserving capital for their clients. The firm’s integrated top-down and bottom-up investment process emphasizes global and multi-sector diversification to generate attractive risk-adjusted returns from income and capital appreciation. They offer a range of investment strategies across fixed income, equities, and emerging markets. | Gestionnaire de Portefeuille-Actions | 24/01/2011 |
Transamerica Investment Management LLC
Transamerica Investment Management LLC Investment ManagersFinance Transamerica Investment Management (TIM) offers growth, value, fixed-income and alternative investment strategies. Though not limited by sector, the firm tends to invest in the stocks of companies in the producer manufacturing, finance, technology services, electronic technology and health technology sectors. They invest globally, across all market-caps. TIM maintains a medium turnover rate. TIM's growth strategies seek to invest in companies whose earnings are expected to grow at an above-average rate relative to their industry or the overall market. The firm invests in high-quality companies with superior business models that exhibit catalysts for positive change which can result in rapid growth in earnings, revenues and discretionary free cash flow. Their growth strategies include: micro-cap growth, small-cap core, small-cap growth, small/mid-cap growth, mid-cap growth, large-cap growth, diversified equity, concentrated all-cap growth, global growth and balanced. The firm's micro-cap growth equity portfolio invests in the stocks of 60 to 100 small-cap companies with market-cap of $10 million to $300 million. TIM's small-cap core equity strategy invests in the stocks of 40 to 80 companies with market-cap of $100 million to $3 billion. The firm's small-cap growth equity strategy invests in the stocks of 40 to 80 companies with market-cap of $100 million to $3 billion. TIM's small/mid-cap growth strategy invests in the stocks of 40 to 80 companies with market-cap of $300 million to $5 billion. The firm's mid-cap growth strategy invests in the stocks of 30 to 40 companies with a market-cap of $1 billion to $20 billion. Their large-cap growth equity strategy invests in the stocks of 30 to 50 companies with a market-cap greater than $3 billion. Their diversified equity strategy invests in the stocks of 40 to 60 companies that have a market-cap greater than $3 billion. Their concentrated all-cap growth equity strategy invests in the stocks of 40 to 60 companies with a market-cap greater than $100 million. The firm's global growth equity strategy invests in the stocks of 25 to 35 companies with a market-cap greater than $3 billion. TIM's balanced portfolio seeks to provide long-term capital appreciation and income through investments in large-cap growth companies and high quality fixed-income securities combined with a strategic asset allocation overlay. TIM's value investment strategies seek to invest in the stocks of undervalued companies whose current stocks prices underestimate the companies' ability to generate profits or earnings in the future. The firm invests in companies that have attractive valuations but offer above average growth potential. They also look for companies with operating and competitive characteristics that provide downside protection. TIM's value strategies include small-cap value, all-cap value and small/mid-cap value. TIM's small-cap value strategy invests in the stocks of 40 to 60 companies with a market-cap of $100 million to $2.5 billion. Their small/mid-cap value strategy invests in the stocks of 40 to 60 companies with a market-cap of $300 million to $5 billion. The firm's all-cap value strategy invests in the stocks of 40 to 60 companies with a market-cap greater than $300 million. TIM's fixed-income strategies seek to provide current income and preservation of capital. The firm strategically manages security selection, sector weightings, duration and term structure. Their fixed-income strategies include: high yield bonds, core fixed-income, core (aggregate fixed-income) and core plus fixed-income. The firm's core fixed-income portfolio invests in 40 to 60 investment grade fixed-income securities with a focus on bonds whose potential for credit improvement is not reflected in current valuations. The primary benchmark for this discipline is the LBGC Bond Index. TIM's core (aggregate) fixed-income portfolio invests in 40 to 60 fixed-income securities with a focus on high-quality bonds whose potential for credit improvement is not reflected in current valuations. The primary benchmark for this discipline is the LB Aggregate Bond Index. TIM's core plus fixed-income portfolio invests in 40 to 60 investment grade fixed-income securities with a focus on bonds whose potential for credit improvement is not reflected in current valuations. The primary benchmark for this discipline is the LBGC Bond Index. The firm's high yield bond portfolio invests in 40 to 60 higher yielding, lower rated fixed-income securities with a focus on high quality bonds whose potential for growth is not reflected in the current bond market valuations. The primary benchmark for this discipline is the ML All High Yield Master Bond Index. TIM's alternative investment strategies include non-traditional asset classes and provide additional investment opportunities for the institutional investor. The firm also manages private investment vehicles for accredited investors and qualified purchasers. The firm's convertible securities portfolios seek to provide long-term capital appreciation and income by investing in 40 to 60 large company growth convertible stocks that have a market-cap greater than $5 billion. | Corporate Officer/Principal | 01/08/1997 |
MUFG Union Bank NA
MUFG Union Bank NA Major BanksFinance Operates as a national bank | Corporate Officer/Principal | - |
| TCW STRATEGIC INCOME FUND, INC. | Corporate Officer/Principal | - |
Formation de Thomas D. Lyon
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 | 8 |
|---|---|
TCW Asset Management Co. LLC
TCW Asset Management Co. LLC Investment ManagersFinance TCW maintains a value-oriented investment approach and their investment process focuses on preserving capital for their clients. The firm’s integrated top-down and bottom-up investment process emphasizes global and multi-sector diversification to generate attractive risk-adjusted returns from income and capital appreciation. They offer a range of investment strategies across fixed income, equities, and emerging markets. | Finance |
MUFG Union Bank NA
MUFG Union Bank NA Major BanksFinance Operates as a national bank | Finance |
TCW Strategic Income Fund
TCW Strategic Income Fund Investment Trusts/Mutual FundsMiscellaneous Acts as Closed-End Investment Fund/Investment Trust | Miscellaneous |
Transamerica Investment Management LLC
Transamerica Investment Management LLC Investment ManagersFinance Transamerica Investment Management (TIM) offers growth, value, fixed-income and alternative investment strategies. Though not limited by sector, the firm tends to invest in the stocks of companies in the producer manufacturing, finance, technology services, electronic technology and health technology sectors. They invest globally, across all market-caps. TIM maintains a medium turnover rate. TIM's growth strategies seek to invest in companies whose earnings are expected to grow at an above-average rate relative to their industry or the overall market. The firm invests in high-quality companies with superior business models that exhibit catalysts for positive change which can result in rapid growth in earnings, revenues and discretionary free cash flow. Their growth strategies include: micro-cap growth, small-cap core, small-cap growth, small/mid-cap growth, mid-cap growth, large-cap growth, diversified equity, concentrated all-cap growth, global growth and balanced. The firm's micro-cap growth equity portfolio invests in the stocks of 60 to 100 small-cap companies with market-cap of $10 million to $300 million. TIM's small-cap core equity strategy invests in the stocks of 40 to 80 companies with market-cap of $100 million to $3 billion. The firm's small-cap growth equity strategy invests in the stocks of 40 to 80 companies with market-cap of $100 million to $3 billion. TIM's small/mid-cap growth strategy invests in the stocks of 40 to 80 companies with market-cap of $300 million to $5 billion. The firm's mid-cap growth strategy invests in the stocks of 30 to 40 companies with a market-cap of $1 billion to $20 billion. Their large-cap growth equity strategy invests in the stocks of 30 to 50 companies with a market-cap greater than $3 billion. Their diversified equity strategy invests in the stocks of 40 to 60 companies that have a market-cap greater than $3 billion. Their concentrated all-cap growth equity strategy invests in the stocks of 40 to 60 companies with a market-cap greater than $100 million. The firm's global growth equity strategy invests in the stocks of 25 to 35 companies with a market-cap greater than $3 billion. TIM's balanced portfolio seeks to provide long-term capital appreciation and income through investments in large-cap growth companies and high quality fixed-income securities combined with a strategic asset allocation overlay. TIM's value investment strategies seek to invest in the stocks of undervalued companies whose current stocks prices underestimate the companies' ability to generate profits or earnings in the future. The firm invests in companies that have attractive valuations but offer above average growth potential. They also look for companies with operating and competitive characteristics that provide downside protection. TIM's value strategies include small-cap value, all-cap value and small/mid-cap value. TIM's small-cap value strategy invests in the stocks of 40 to 60 companies with a market-cap of $100 million to $2.5 billion. Their small/mid-cap value strategy invests in the stocks of 40 to 60 companies with a market-cap of $300 million to $5 billion. The firm's all-cap value strategy invests in the stocks of 40 to 60 companies with a market-cap greater than $300 million. TIM's fixed-income strategies seek to provide current income and preservation of capital. The firm strategically manages security selection, sector weightings, duration and term structure. Their fixed-income strategies include: high yield bonds, core fixed-income, core (aggregate fixed-income) and core plus fixed-income. The firm's core fixed-income portfolio invests in 40 to 60 investment grade fixed-income securities with a focus on bonds whose potential for credit improvement is not reflected in current valuations. The primary benchmark for this discipline is the LBGC Bond Index. TIM's core (aggregate) fixed-income portfolio invests in 40 to 60 fixed-income securities with a focus on high-quality bonds whose potential for credit improvement is not reflected in current valuations. The primary benchmark for this discipline is the LB Aggregate Bond Index. TIM's core plus fixed-income portfolio invests in 40 to 60 investment grade fixed-income securities with a focus on bonds whose potential for credit improvement is not reflected in current valuations. The primary benchmark for this discipline is the LBGC Bond Index. The firm's high yield bond portfolio invests in 40 to 60 higher yielding, lower rated fixed-income securities with a focus on high quality bonds whose potential for growth is not reflected in the current bond market valuations. The primary benchmark for this discipline is the ML All High Yield Master Bond Index. TIM's alternative investment strategies include non-traditional asset classes and provide additional investment opportunities for the institutional investor. The firm also manages private investment vehicles for accredited investors and qualified purchasers. The firm's convertible securities portfolios seek to provide long-term capital appreciation and income by investing in 40 to 60 large company growth convertible stocks that have a market-cap greater than $5 billion. | Finance |
University of Southern California
University of Southern California Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Claremont Graduate University
Claremont Graduate University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Pasadena Angels, Inc.
Pasadena Angels, Inc. Investment ManagersFinance Pasadena Angels invests in companies located in the United States and Canada, primarily in Southern California. The firm targets companies operating in the field of technology sector. It provides financing in the form of equity for seed and early stage capital requirements with an investment size of USD 0.1 - 1 million. | Finance |
Vinergy, Inc.
Vinergy, Inc. Department StoresRetail Trade Operates as an online store that sells and rents agricultural machinery | Retail Trade |
















