Profil
Raffi Charles Tokatlian is currently Limited Partner & Managing Member at Ararat Capital Management LP since 2015.
Formerly, worked as an Analyst at Bridger Management LLC and as an Analyst at Alson Capital Partners LLC from 2004 to 2009.
Completed undergraduate degree at the University of Virginia in 2001.
Postes actifs de Raffi Charles Tokatlian
| Sociétés | Poste | Début |
|---|---|---|
Ararat Capital Management LP
Ararat Capital Management LP Investment ManagersFinance Ararat’s Funds employs a long/short equity investment strategy and seeks to compound capital at a positive absolute rate of return measured over multi-year periods, irrespective of market conditions. In order to achieve this goal, the Funds opportunistically enter into long and short positions in equity securities of companies across sectors and geographies, purchase securities on margin, enter into over-the-counter derivatives, including, without limitation, equity derivatives or foreign exchange hedges. There is a particular emphasis on companies of small- to medium-sized market capitalization. The Master Fund’s portfolio is comprised of core investment positions which are managed dynamically through an analytically influenced process. | Directeur Général | 01/12/2015 |
Anciens postes connus de Raffi Charles Tokatlian
| Sociétés | Poste | Fin |
|---|---|---|
Alson Capital Partners LLC
Alson Capital Partners LLC Investment ManagersFinance Alson uses a long/short approach to invest in US mid- and large-cap stocks. Their research effort is bottom-up. They hedge with options and may use leverage. They invest across a variety of sectors including, but not limited to, manufacturing, finance, utilities and technology. Alson maintains a medium turnover | Analyst-Equity | 31/05/2009 |
Bridger Management LLC
Bridger Management LLC Investment ManagersFinance Bridger focuses on publicly traded equities, emphasizes fundamental and has a research-oriented stock selection in both long and short investments. The firm manages investment vehicles which seek to generate long-term and superior risk-adjusted total returns. They believe that short positions not only serve as a hedge against volatile market conditions, but also generate profit opportunities for the clients. | Analyst-Equity | - |
Formation de Raffi Charles Tokatlian
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Sociétés liées
| Entreprise privées | 4 |
|---|---|
Bridger Management LLC
Bridger Management LLC Investment ManagersFinance Bridger focuses on publicly traded equities, emphasizes fundamental and has a research-oriented stock selection in both long and short investments. The firm manages investment vehicles which seek to generate long-term and superior risk-adjusted total returns. They believe that short positions not only serve as a hedge against volatile market conditions, but also generate profit opportunities for the clients. | Finance |
Alson Capital Partners LLC
Alson Capital Partners LLC Investment ManagersFinance Alson uses a long/short approach to invest in US mid- and large-cap stocks. Their research effort is bottom-up. They hedge with options and may use leverage. They invest across a variety of sectors including, but not limited to, manufacturing, finance, utilities and technology. Alson maintains a medium turnover | Finance |
University of Virginia
University of Virginia Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Ararat Capital Management LP
Ararat Capital Management LP Investment ManagersFinance Ararat’s Funds employs a long/short equity investment strategy and seeks to compound capital at a positive absolute rate of return measured over multi-year periods, irrespective of market conditions. In order to achieve this goal, the Funds opportunistically enter into long and short positions in equity securities of companies across sectors and geographies, purchase securities on margin, enter into over-the-counter derivatives, including, without limitation, equity derivatives or foreign exchange hedges. There is a particular emphasis on companies of small- to medium-sized market capitalization. The Master Fund’s portfolio is comprised of core investment positions which are managed dynamically through an analytically influenced process. | Finance |
















