Profil
Mr. Bryan D.
Franco, CFA, is a Chief Investment Officer at Carrera Capital Advisors LLC.
His work background spans both retail and institutional investing and utilizes a variety of techniques to help clients achieve their goals, including: quantitative, macroeconomic, technical and fundamental analysis.
Mr. Franco was previously employed as a Portfolio Manager by Flexible Plan Investments Ltd. and a Portfolio Manager by Oppenheimer Asset Management, Inc.
He has a Bachelors and Masters degree in Engineering from the University of Michigan.
Postes actifs de Bryan David Franco
| Sociétés | Poste | Début |
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Anciens postes connus de Bryan David Franco
| Sociétés | Poste | Fin |
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Flexible Plan Investments Ltd.
Flexible Plan Investments Ltd. Investment ManagersFinance FPI is a quantitative asset management firm that utilizes both fundamental and technical factors in their security analysis. They utilize a number of indicators, factors and statistics commonly available to investors, as well as a number of proprietary stock and bond market indicators to identify undervalued securities and market conditions. The firm attempts to identify specific Investments which, in any given time frame and/or set of conditions may outperform similar Investments. In the management of their clients’ investment accounts, FPI employs mathematical, technical and fundamental models and indicators, some of which are proprietary. | Gestionnaire de Portefeuille-Actions | - |
Oppenheimer Asset Management, Inc.
Oppenheimer Asset Management, Inc. Investment ManagersFinance OAM uses a third-party risk model providers and an attribution to examine portfolio characteristics and risk exposure of a manager’s historical portfolio holdings. The firm focuses both on active portfolio management that utilizes both a top-down/bottom-up style emphasizing security selection and value investing. | Portfolio Manager-Fixed Income | - |
Formation de Bryan David Franco
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| Entreprise privées | 3 |
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Oppenheimer Asset Management, Inc.
Oppenheimer Asset Management, Inc. Investment ManagersFinance OAM uses a third-party risk model providers and an attribution to examine portfolio characteristics and risk exposure of a manager’s historical portfolio holdings. The firm focuses both on active portfolio management that utilizes both a top-down/bottom-up style emphasizing security selection and value investing. | Finance |
Flexible Plan Investments Ltd.
Flexible Plan Investments Ltd. Investment ManagersFinance FPI is a quantitative asset management firm that utilizes both fundamental and technical factors in their security analysis. They utilize a number of indicators, factors and statistics commonly available to investors, as well as a number of proprietary stock and bond market indicators to identify undervalued securities and market conditions. The firm attempts to identify specific Investments which, in any given time frame and/or set of conditions may outperform similar Investments. In the management of their clients’ investment accounts, FPI employs mathematical, technical and fundamental models and indicators, some of which are proprietary. | Finance |
University of Michigan
University of Michigan Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
















