Profil
Mr. Thomas M.
Hynes is a Principal, Managing Director & Portfolio Manager at Aristotle Atlantic Partners LLC.
He is also a Senior Research Analyst at Aristotle Atlantic and has over 21 years of experience in the investment management industry.
Prior to joining Aristotle Atlantic, Mr. Hynes worked as a Portfolio Manager and Senior Analyst for Deutsche Asset Management.
He had experience as a Director and Client Portfolio Manager at Citi and as a Director for Deutsche Bank Private Wealth Management.
He also served on the board at Deutsche Investment Management Americas, Inc.
He earned his Bachelor of Science degree in Finance and Economics from Fordham University.
He is a CFA charterholder.
Postes actifs de Thomas M. Hynes
| Sociétés | Poste | Début |
|---|---|---|
Aristotle Atlantic Partners LLC
Aristotle Atlantic Partners LLC Investment ManagersFinance Aristotle Atlantic offers Large-Cap Growth, Core Equity and Focus Growth investment strategies. The firm aims to add value with active portfolio management to help clients reach their long-term financial goals. They identify companies that are poised to benefit from secular themes, product cycles or industry trends through fundamental, bottom-up research. Aristotle Atlantic believes consistent risk-adjusted returns can be achieved while mitigating risk over multi-year time horizons. | Analyst-Equity | 14/12/2016 |
Anciens postes connus de Thomas M. Hynes
| Sociétés | Poste | Fin |
|---|---|---|
DWS Investment Management Americas, Inc.
DWS Investment Management Americas, Inc. Investment ManagersFinance DIMA typically invest in securities that appear to offer the best potential to meet client needs, which may include any number of factors such as: yield, value, growth, income, etc. The firm utilizes a variety of quantitative and qualitative techniques in trying to meet clients' investment objectives. Portfolio management constructs the strategy using a combination of top-down macro views and bottom-up research along with risk management strategies. | Analyst-Equity | 01/12/2016 |
Citigroup Asset Management (United States)
Citigroup Asset Management (United States) Investment ManagersFinance Profile Unavailabl | Corporate Officer/Principal | 30/04/2007 |
Deutsche Bank Corp.
Deutsche Bank Corp. Regional BanksFinance Part of Deutsche Bank AG, Deutsche Bank Corp. is a company based in New York, NY. | Corporate Officer/Principal | - |
Formation de Thomas M. Hynes
Expériences
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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 | 5 |
|---|---|
DWS Investment Management Americas, Inc.
DWS Investment Management Americas, Inc. Investment ManagersFinance DIMA typically invest in securities that appear to offer the best potential to meet client needs, which may include any number of factors such as: yield, value, growth, income, etc. The firm utilizes a variety of quantitative and qualitative techniques in trying to meet clients' investment objectives. Portfolio management constructs the strategy using a combination of top-down macro views and bottom-up research along with risk management strategies. | Finance |
Fordham University
Fordham University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Deutsche Bank Corp.
Deutsche Bank Corp. Regional BanksFinance Part of Deutsche Bank AG, Deutsche Bank Corp. is a company based in New York, NY. | Finance |
Citigroup Asset Management (United States)
Citigroup Asset Management (United States) Investment ManagersFinance Profile Unavailabl | Finance |
Aristotle Atlantic Partners LLC
Aristotle Atlantic Partners LLC Investment ManagersFinance Aristotle Atlantic offers Large-Cap Growth, Core Equity and Focus Growth investment strategies. The firm aims to add value with active portfolio management to help clients reach their long-term financial goals. They identify companies that are poised to benefit from secular themes, product cycles or industry trends through fundamental, bottom-up research. Aristotle Atlantic believes consistent risk-adjusted returns can be achieved while mitigating risk over multi-year time horizons. | Finance |
















