Grant Brown
Fortune : 5 M $ au 31/05/2026
Fortune : 5 M $ au 31/05/2026
Grant Allen Brown is currently Co-Managing Director at Qorvo Munich GmbH and Chief Financial Officer & Senior Vice President at Qorvo, Inc. Former positions include Director-Corporate Financial Planning & Analysis at Qorvo, Inc. from 2016 to 2017, Director-IR and Manager-Financial Planning & Analysis at TriQuint Semiconductor, Inc., Associate Analyst at Ascend Capital LLC from 2001 to 2003, Partner & Portfolio Manager at Chinook Capital Management LLC from 2010 to 2013, and Principal at CSFB Private Equity Partners LLC.
Education includes an undergraduate degree from Stanford University, conferred in 1999.
| Société | Date | Nombre d'actions | Valorisation | Date de valorisation |
|---|---|---|---|---|
QORVO, INC. 0,05 % | 18/05/2026 | 45 384 ( 0,05 % ) | 5 M $ | 31/05/2026 |
| Sociétés | Poste | Début |
|---|---|---|
| QORVO, INC. | Directeur Financier/CFO | 18/04/2022 |
Qorvo Munich GmbH
Qorvo Munich GmbH Electrical ProductsProducer Manufacturing Manufactures and distributes amplifiers & transistors | Directeur Général | - |
| Sociétés | Poste | Fin |
|---|---|---|
| QORVO, INC. | Corporate Officer/Principal | 01/07/2017 |
Chinook Capital Management LLC
Chinook Capital Management LLC Investment ManagersFinance Chinook Capital Management invests in companies that have records of successfully managing and growing shareholder capital. They invest in companies with high and stable earnings growth. Chinook looks for reasonably valued stocks of quality companies, employing an investing style based on buying growth at a reasonable price. The firm's core equity investments include 40 high-quality stocks with the following characteristics relative to the S&P: higher returns on equity, higher earnings growth rates and valuations (P/E multiples) which are comparable to the index. These stocks are actively managed by the firm and include both large-cap and mid-cap stocks. They also utilize various mutual funds for further diversification and to take advantage of investment expertise that they think will add value. Chinook has mutual fund exposure to domestic and international stocks, large-cap to small-cap size classifications and growth and value styles. The firm looks for companies with the potential for above-average earnings growth. They primarily invest in companies that promise high relative growth but not hyper growth. They also require a reasonable relationship between this growth and valuation. Chinook's quantitative techniques are applied against the Compustat database which allows them to analyze about 15,000 large-cap and mid-cap companies. In addition, the firm offers balanced and fixed-income investment strategies. | Gestionnaire de Portefeuille-Actions | 30/05/2013 |
Ascend Capital LLC
Ascend Capital LLC Investment ManagersFinance Ascend Capital employs an opportunistic US-focused long/short equity investment strategy. They seek to generate superior risk-adjusted returns that maximize gains and minimize volatility over a broad range of market environments. They employ a variation of the Jones Model investing strategy with the intention of achieving capital appreciation in a broad range of market environments. The net market exposure of each account may vary significantly depending on the firm's assessment of shifting economic and market conditions, as well as particular long and short investing opportunities. Ascend Capital's strategy has neither a long nor short bias. Although their strategy focuses on equity and equity-related securities that are publicly traded, they may pursue a highly diverse range of investments and trading strategies. Ascend Capital may cause the accounts to invest a significant portion of their assets in one or more of the following: illiquid securities, including privately placed equity (of public and private companies), defaulted debt, bank debt and trade claims, bonds (convertible and non-convertible), other fixed-income investments and senior and subordinated tranches of asset-backed pools. Ascend Capital's strategy includes short selling. They expect the funds to utilize leverage on a moderate to extensive basis. The separate accounts utilize leverage in accordance with the investment guidelines for each account. The firm may cause the accounts to buy or sell (write) options, publicly traded and over-the-counter, covered and uncovered, on securities and securities indices, as well as options and forward contracts on currencies. They may also cause the accounts to engage in a variety of investment techniques involving arbitrage. addition, they may cause the accounts to engage in futures and other derivative transactions, typically for hedging of existing long and short positions. | Analyst-Equity | 31/12/2003 |
CSFB Private Equity Partners LLC
CSFB Private Equity Partners LLC Investment ManagersFinance CSFB Private Equity invests in companies located in the United States and Europe. The firm focuses on companies operating in the fields of the market structure, financial technology, enterprise software, data analytics and specialty finance service sector. It provides financing for growth stage capital requirements. | Corporate Officer/Principal | 31/12/2000 |
| TRIQUINT SEMICONDUCTOR | Investor Relations Contact | - |
Actives
Inactives
Sociétés cotées
Entreprise privées
Relations au 1er degré
Entreprises liées au 1er degré
Homme
Femme
Administrateurs
Exécutifs
| Entreprise privées | 7 |
|---|---|
TriQuint Semiconductor, Inc.
TriQuint Semiconductor, Inc. SemiconductorsElectronic Technology Manufactures radio frequency, analog, and mixed signal integrated circuits | Electronic Technology |
Ascend Capital LLC
Ascend Capital LLC Investment ManagersFinance Ascend Capital employs an opportunistic US-focused long/short equity investment strategy. They seek to generate superior risk-adjusted returns that maximize gains and minimize volatility over a broad range of market environments. They employ a variation of the Jones Model investing strategy with the intention of achieving capital appreciation in a broad range of market environments. The net market exposure of each account may vary significantly depending on the firm's assessment of shifting economic and market conditions, as well as particular long and short investing opportunities. Ascend Capital's strategy has neither a long nor short bias. Although their strategy focuses on equity and equity-related securities that are publicly traded, they may pursue a highly diverse range of investments and trading strategies. Ascend Capital may cause the accounts to invest a significant portion of their assets in one or more of the following: illiquid securities, including privately placed equity (of public and private companies), defaulted debt, bank debt and trade claims, bonds (convertible and non-convertible), other fixed-income investments and senior and subordinated tranches of asset-backed pools. Ascend Capital's strategy includes short selling. They expect the funds to utilize leverage on a moderate to extensive basis. The separate accounts utilize leverage in accordance with the investment guidelines for each account. The firm may cause the accounts to buy or sell (write) options, publicly traded and over-the-counter, covered and uncovered, on securities and securities indices, as well as options and forward contracts on currencies. They may also cause the accounts to engage in a variety of investment techniques involving arbitrage. addition, they may cause the accounts to engage in futures and other derivative transactions, typically for hedging of existing long and short positions. | Finance |
Stanford University
Stanford University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Chinook Capital Management LLC
Chinook Capital Management LLC Investment ManagersFinance Chinook Capital Management invests in companies that have records of successfully managing and growing shareholder capital. They invest in companies with high and stable earnings growth. Chinook looks for reasonably valued stocks of quality companies, employing an investing style based on buying growth at a reasonable price. The firm's core equity investments include 40 high-quality stocks with the following characteristics relative to the S&P: higher returns on equity, higher earnings growth rates and valuations (P/E multiples) which are comparable to the index. These stocks are actively managed by the firm and include both large-cap and mid-cap stocks. They also utilize various mutual funds for further diversification and to take advantage of investment expertise that they think will add value. Chinook has mutual fund exposure to domestic and international stocks, large-cap to small-cap size classifications and growth and value styles. The firm looks for companies with the potential for above-average earnings growth. They primarily invest in companies that promise high relative growth but not hyper growth. They also require a reasonable relationship between this growth and valuation. Chinook's quantitative techniques are applied against the Compustat database which allows them to analyze about 15,000 large-cap and mid-cap companies. In addition, the firm offers balanced and fixed-income investment strategies. | Finance |
CSFB Private Equity Partners LLC
CSFB Private Equity Partners LLC Investment ManagersFinance CSFB Private Equity invests in companies located in the United States and Europe. The firm focuses on companies operating in the fields of the market structure, financial technology, enterprise software, data analytics and specialty finance service sector. It provides financing for growth stage capital requirements. | Finance |
Qorvo Munich GmbH
Qorvo Munich GmbH Electrical ProductsProducer Manufacturing Manufactures and distributes amplifiers & transistors | Producer Manufacturing |
Qorvo, Inc.
Qorvo, Inc. SemiconductorsElectronic Technology Operates as a semiconductor company that develops and supplies cellular, ultra-wideband, Wi-Fi and other wireless products | Electronic Technology |
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