Profil
Peter Stephen Hanley formerly worked at The Toronto-Dominion Bank, as Vice President, KBSH Capital Management, Inc., as Vice President & Portfolio Manager, Van Berkom & Associates, Inc., as Vice President, Galileo Global Equity Advisors, Inc., as Vice President, Gryphon International Investment Corp., as Portfolio Manager from 2009 to 2022, and Canadian National Railway Co. (Investment Management), as Principal.
Mr. Hanley received his Masters Business Admin degree in 1989 from Concordia University.
Anciens postes connus de Peter Hanley
| Sociétés | Poste | Fin |
|---|---|---|
Gryphon International Investment Corp.
Gryphon International Investment Corp. Investment ManagersFinance Gryphon International primarily conducts fundamental analysis and seeks to invest discretionary clients’ assets in international equity securities on a long-only basis. Their investment strategy and process may be supplemented with technical analysis and may include investments in warrants and rights further to investment positions held, as well as a portion of assets in cash or cash equivalent positions. | Gestionnaire de Portefeuille-Actions | 01/05/2022 |
| THE TORONTO-DOMINION BANK | Corporate Officer/Principal | - |
Canadian National Railway Co. (Investment Management)
Canadian National Railway Co. (Investment Management) Investment ManagersFinance CN Investment Division invests and administers various benefit plans of CN, the assets of which are held in separate trust funds which are diversified by asset type, country and investment strategies. | Corporate Officer/Principal | - |
KBSH Capital Management, Inc.
KBSH Capital Management, Inc. Investment ManagersFinance KBSH Capital Management is a growth manager that employs fundamental financial analysis and a disciplined security selection process. The firm seeks to maintain above average risk-adjusted performance over the long-term. KBSH's equity selection approach is based on bottom-up analysis. They seek growth companies with strong sales, superior cash flows, high ROE and reasonable valuations. Other considerations include management strength, industry dynamics, the integrity of accounting policies and the quality of the balance sheet. KBSH tends to invest in the stocks of US and Canadian companies in the finance, technology services and industrial services sectors. The firm invests across all market-caps and maintains a high turnover rate. KBSH's fixed-income management begins with a macroeconomic outlook. The firm employs interest rate forecast to determine portfolio duration and term structure. Sector and security selection results from a combination of rate levels, yield spreads and credit analysis. | Gestionnaire de Portefeuille-Actions | - |
Van Berkom & Associates, Inc.
Van Berkom & Associates, Inc. Investment ManagersFinance Van Berkom believes the best opportunity for investment success is found by investing in high quality, well-managed, but mispriced small-cap companies and holding them for the long-term. The firm emphasizes bottom-up analysis to identify high-quality and undervalued companies. | Gestionnaire de Portefeuille-Actions | - |
Formation de Peter Hanley
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Entreprise privées
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Entreprises liées au 1er degré
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Sociétés liées
| Entreprise privées | 7 |
|---|---|
The Toronto-Dominion Bank
The Toronto-Dominion Bank Major BanksFinance Provides personal, commercial, retail and corporate banking, wealth management & insurance services | Finance |
KBSH Capital Management, Inc.
KBSH Capital Management, Inc. Investment ManagersFinance KBSH Capital Management is a growth manager that employs fundamental financial analysis and a disciplined security selection process. The firm seeks to maintain above average risk-adjusted performance over the long-term. KBSH's equity selection approach is based on bottom-up analysis. They seek growth companies with strong sales, superior cash flows, high ROE and reasonable valuations. Other considerations include management strength, industry dynamics, the integrity of accounting policies and the quality of the balance sheet. KBSH tends to invest in the stocks of US and Canadian companies in the finance, technology services and industrial services sectors. The firm invests across all market-caps and maintains a high turnover rate. KBSH's fixed-income management begins with a macroeconomic outlook. The firm employs interest rate forecast to determine portfolio duration and term structure. Sector and security selection results from a combination of rate levels, yield spreads and credit analysis. | Finance |
Van Berkom & Associates, Inc.
Van Berkom & Associates, Inc. Investment ManagersFinance Van Berkom believes the best opportunity for investment success is found by investing in high quality, well-managed, but mispriced small-cap companies and holding them for the long-term. The firm emphasizes bottom-up analysis to identify high-quality and undervalued companies. | Finance |
Galileo Global Equity Advisors, Inc.
Galileo Global Equity Advisors, Inc. Investment ManagersFinance GGEA is a growth manager that invests in growth-oriented companies in Canada, the US, EAFE, and selected emerging markets. They specialize in common-stock companies with strong management teams and high growth rates. The firm invests primarily in the stocks of small- and mid-cap companies. Their investment approach is industry- and company-driven, and portfolios are constructed using bottom-up analysis. GGEA manages portfolios comprised of investments in Canadian junior oil and gas corporations, royalty trusts, and income funds. | Finance |
Concordia University
Concordia University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Gryphon International Investment Corp.
Gryphon International Investment Corp. Investment ManagersFinance Gryphon International primarily conducts fundamental analysis and seeks to invest discretionary clients’ assets in international equity securities on a long-only basis. Their investment strategy and process may be supplemented with technical analysis and may include investments in warrants and rights further to investment positions held, as well as a portion of assets in cash or cash equivalent positions. | Finance |
Canadian National Railway Co. (Investment Management)
Canadian National Railway Co. (Investment Management) Investment ManagersFinance CN Investment Division invests and administers various benefit plans of CN, the assets of which are held in separate trust funds which are diversified by asset type, country and investment strategies. | Finance |
















