Profil
Mr. Robert Ramsey is an Analyst at Foxhaven Asset Management LP.
He is a generalist within the firm’s focus areas of TMT, consumer and industrials and has particularly deep expertise in the branded consumer area.
Mr. Ramsey gained his expertise at JH Partners, LLC, a consumer-focused private equity firm, where he worked from 2005 to 2014, serving as an associate and then principal.
His foundation for investing began in the mergers and acquisitions group at CIBC World Markets Corp.
Mr. Ramsey earned his BA in Economics from Harvard College in 2003.
Postes actifs de Rob Ramsey
Sociétés | Poste | Début |
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Foxhaven Asset Management LP
Foxhaven Asset Management LP Investment ManagersFinance Foxhaven Asset Management LP (Foxhaven) is an independent, SEC-registered investment advisor and hedge fund manager headquartered in Charlottesville, Virginia. The firm was founded by Michael A. Pausic and Nicholas F. Lawler in 2013. Foxhaven serves as an investment manager and provides discretionary advisory services to several related collective investment vehicles. | Analyst-Equity | 01/06/2014 |
Anciens postes connus de Rob Ramsey
Sociétés | Poste | Fin |
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JH Partners LLC
JH Partners LLC Investment ManagersFinance JH Partners LLC (JH Partners) is a private equity firm founded in 1986. The firm headquartered in San Francisco, California. | Analyste en capital-investissement | 01/01/2014 |
CIBC World Markets Corp. (Old)
CIBC World Markets Corp. (Old) Financial ConglomeratesFinance CIBC World Markets is a full-service investment bank headquartered in New York City. CIBC provides an internationally integrated research product through three primary strategies. In the US, the firm provides research coverage available in areas of focus, including technology, telecommunications, healthcare, energy, power generation and technology, financial institutions, consumer growth, real estate and media. In Canada, the firm offers the full spectrum of coverage for all of the sectors that form the TSE 300 Index. Their broad investment grade analysis of return bond Indices provides daily performance of the Canadian bond market. The sectors covered are: government of Canada bonds, provincial and municipal bonds and corporate bonds rated AAA/AA, A and BBB. Also available is a monthly ABS/MBS market report that provides information on ABS market conditions, market summary data and monthly performance reports on outstanding transactions. This report includes information about the MBS market, including key statistics on MBS spreads and prepayments. Another report contains MBS trading data, cash flows and other key data. A separate monthly Portfolio Valuation Report provides month end pricing for ABS and MBS transactions. Corporate debt research produces highly targeted credit analysis and research for investment grade and high yield debt securities. The corporate bond review covers bond market action, new issues, price/yield movements, rating changes, and buy/sell recommendations. The fixed-income research group produces actionable fundamental and technical analysis, strategies, products, and runs bond indexes and quantitative models relating specifically to fixed income markets, bond portfolios, and individual securities. CIBC provides risk management solutions to corporations, investors, financial institutions, and governments across all asset classes: interest rates, equities, credit, currency, and commodities. CIBC World Markets is a subsidiary of Canadian Imperial Bank of Commerce. | Corporate Officer/Principal | - |
Formation de Rob Ramsey
Harvard University | Undergraduate Degree |
Expériences
Fonctions occupées
Relations
Relations au 1er degré
Entreprises liées au 1er degré
Homme
Femme
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Sociétés liées
Entreprise privées | 3 |
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JH Partners LLC
JH Partners LLC Investment ManagersFinance JH Partners LLC (JH Partners) is a private equity firm founded in 1986. The firm headquartered in San Francisco, California. | Finance |
CIBC World Markets Corp. (Old)
CIBC World Markets Corp. (Old) Financial ConglomeratesFinance CIBC World Markets is a full-service investment bank headquartered in New York City. CIBC provides an internationally integrated research product through three primary strategies. In the US, the firm provides research coverage available in areas of focus, including technology, telecommunications, healthcare, energy, power generation and technology, financial institutions, consumer growth, real estate and media. In Canada, the firm offers the full spectrum of coverage for all of the sectors that form the TSE 300 Index. Their broad investment grade analysis of return bond Indices provides daily performance of the Canadian bond market. The sectors covered are: government of Canada bonds, provincial and municipal bonds and corporate bonds rated AAA/AA, A and BBB. Also available is a monthly ABS/MBS market report that provides information on ABS market conditions, market summary data and monthly performance reports on outstanding transactions. This report includes information about the MBS market, including key statistics on MBS spreads and prepayments. Another report contains MBS trading data, cash flows and other key data. A separate monthly Portfolio Valuation Report provides month end pricing for ABS and MBS transactions. Corporate debt research produces highly targeted credit analysis and research for investment grade and high yield debt securities. The corporate bond review covers bond market action, new issues, price/yield movements, rating changes, and buy/sell recommendations. The fixed-income research group produces actionable fundamental and technical analysis, strategies, products, and runs bond indexes and quantitative models relating specifically to fixed income markets, bond portfolios, and individual securities. CIBC provides risk management solutions to corporations, investors, financial institutions, and governments across all asset classes: interest rates, equities, credit, currency, and commodities. CIBC World Markets is a subsidiary of Canadian Imperial Bank of Commerce. | Finance |
Foxhaven Asset Management LP
Foxhaven Asset Management LP Investment ManagersFinance Foxhaven Asset Management LP (Foxhaven) is an independent, SEC-registered investment advisor and hedge fund manager headquartered in Charlottesville, Virginia. The firm was founded by Michael A. Pausic and Nicholas F. Lawler in 2013. Foxhaven serves as an investment manager and provides discretionary advisory services to several related collective investment vehicles. | Finance |