Profil
Mr. Scott H.
Hutchens is a Research Analyst at Hutchens Investment Management, Inc. He conducts equity and industry analysis.
He has a BS in Finance at Plymouth State University.
Anciens postes connus de Scott H. Hutchens
| Sociétés | Poste | Fin |
|---|---|---|
Hutchens Investment Management, Inc.
Hutchens Investment Management, Inc. Investment ManagersFinance Hutchens Investment Management offers discretionary investment management services to public, corporate, endowment, foundation and private clients. They employ three investment styles: large-cap core, balanced and ETFs. The firm focuses on several industries including energy, technology, telecommunications, industrial, aerospace, defense, global infrastructure, agriculture, metals and mining. Hutchen's investment process combines quantitative analysis focusing on cash flow, asset value and business momentum, with traditional fundamental research to uncover value in a company's competitive position, business plan and management. The firm first uses a proprietary quantitative formula to screen and sort a universe of about 1000 companies. Then they employ qualitative research to uncover hidden value. And lastly, they diversify portfolios to control risk. ETFs are analyzed at the security level using the firm's proprietary multi-factor valuation matrix. They purchase only highly-valued ETFs for client portfolios. Diversification by sector and economic theme reduces risk and enhances returns. Hutchens sells securities when (1) the target price is met (2) the stock is overweighted (greater than 5% of the portfolio) or (3) there is price deterioration relative to the sector. | Analyst-Equity | - |
Formation de Scott H. Hutchens
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
Sociétés liées
| Entreprise privées | 2 |
|---|---|
Hutchens Investment Management, Inc.
Hutchens Investment Management, Inc. Investment ManagersFinance Hutchens Investment Management offers discretionary investment management services to public, corporate, endowment, foundation and private clients. They employ three investment styles: large-cap core, balanced and ETFs. The firm focuses on several industries including energy, technology, telecommunications, industrial, aerospace, defense, global infrastructure, agriculture, metals and mining. Hutchen's investment process combines quantitative analysis focusing on cash flow, asset value and business momentum, with traditional fundamental research to uncover value in a company's competitive position, business plan and management. The firm first uses a proprietary quantitative formula to screen and sort a universe of about 1000 companies. Then they employ qualitative research to uncover hidden value. And lastly, they diversify portfolios to control risk. ETFs are analyzed at the security level using the firm's proprietary multi-factor valuation matrix. They purchase only highly-valued ETFs for client portfolios. Diversification by sector and economic theme reduces risk and enhances returns. Hutchens sells securities when (1) the target price is met (2) the stock is overweighted (greater than 5% of the portfolio) or (3) there is price deterioration relative to the sector. | Finance |
Plymouth State University
Plymouth State University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
















