Eilmeldung
Sichern Sie sich 40% Rabatt 0
🚨 Volatile Märkte? Keine Sorge! Wir haben die Perlen für Ihr Portfolio!
Jetzt Aktien finden
Schließen

Westwood Select Income Fund A Class Shares (KIFAX)

Meldung erstellen
Neu!
Meldung erstellen
Webseite
  • Als eine Mitteilungsmeldung
  • Stellen Sie sicher, dass Sie in Ihrem Konto angemeldet sind, um diese Funktion zu nutzen
Mobile App
  • Stellen Sie sicher, dass Sie in Ihrem Konto angemeldet sind, um diese Funktion zu nutzen
  • Stellen Sie sicher, dass Sie mit dem selben Benutzerprofil angemeldet sind

Bedingung

Häufigkeit

Einmalig
%

Häufigkeit

Häufigkeit

Zustellungsmethode

Status

Einem Portfolio hinzufügen/entfernen Portfolio hinzufügen
Zur Watchlist hinzufügen
Position hinzufügen

Position erfolgreich hinzugefügt zu:

Benennen Sie Ihr Beteiligungsportfolio
 
18,01 +0,02    +0,11%
03/05 - Geschlossen. Währung in USD ( Haftungsausschluss )
Typ:  Fonds
Markt:  USA
Emittent:  Salient Funds
Anlageklasse:  Aktie
  • Morningstar Rating:
  • Fondsvermögen: 96,71M
Salient Select Income A 18,01 +0,02 +0,11%

KIFAX Übersicht

 
Auf dieser Seite finden Sie ein ausführliches Westwood Select Income Fund A Class Shares Profil. Erfahren Sie mehr über das Management, das Gesamtvermögen, die Anlagestrategie und die KIFAX Kontaktinformationen.
Kategorie

Preferred Stock

Fondsvermögen

96,71M

Kosten

1,33%

Versicherungsbeginn

36980

Kontaktinformation

Adresse P.O. Box 219009
Kansas City,MO
United States
Telefon -

Management

Name Titel Seit Bis
John D. Palmer - 2021 Aktuell
Biografie John is a portfolio manager for the Westwood Salient real estate team. Prior to joining Westwood (formerly Salient) in 2013, John evaluated and executed strategic acquisitions of wealth management firms at Focus Financial Partners. Previously, he evaluated privately held bank and thrift investment opportunities at Belvedere Capital Partners, a financial services-focused private equity firm. John began his career at RBC Capital Markets, executing mergers and acquisitions as well as equity and debt transactions primarily for financial services sector clients. John has an MBA in finance from the Kellogg School of Management at Northwestern University, and he graduated with high honors from St. Olaf College, majoring in mathematics and economics.
Joel S. Beam Portfolio Manager 2001 2021
Biografie Joel S. Beam. Mr. Beam has been a portfolio manager for Salient Management since June 2009. Mr. Beam has been a portfolio manager for Forward Management since June 2009. Mr. Beam has primary responsibility for the day-to-day management of the Forward Select Income Fund and co-primary responsibility for the day-to-day management of the Forward Real Estate Fund. Mr. Beam served as a portfolio manager responsible for securities investment decisions on behalf of Kensington Investment Group, Inc.’s income-oriented portfolios from 1997 to June 2009. He joined Kensington in 1995 as a Senior Analyst and began managing portfolios in 1997. He was previously employed by Liquidity Financial Advisors, Inc. where he was responsible for valuation and pricing of real estate limited partnership and institutional commingled investment fund securities, as well as their underlying properties. Mr. Beam has managed the Forward Global Infrastructure Fund since its inception in June 2007, Forward International Real Estate Fund since its inception in April 2006, Forward Real Estate Long/Short Fund since its inception in September 2009, and Forward Select Income Fund since its inception in March 2001and the Forward Real Estate Fund since March 2010.
Ian Goltra Portfolio Manager 2009 2016
Biografie Ian Goltra is a Portfolio Manager of Orinda Asset Management LLC. From March 2010 to July 2016, Mr. Goltra served as a portfolio manager at Salient Partners (formerly, Forward Management LLC) after joining the company as a Senior Analyst in June 2009. From May 1998 to June 2009, Mr. Goltra was Senior Analyst and Senior Vice President of Kensington Investment Group, Inc., and he became a Senior Vice President of Kensington in 2004, focusing on the public real estate sector. From 1993 to 1998, Mr. Goltra was Senior Financial Analyst and Western Americas Vice President at Textainer Equipment Management. From 1991 to 1993, Mr. Goltra was Senior Financial Analyst for Meridian Point Properties, and from 1987 to 1990, he was an Analyst at Liquidity Fund Investment Corporation.
Aaron Visse co-Portfolio Manager 2009 2016
Biografie Mr. Visse has been a portfolio manager for Forward Management since June 2009. Mr. Visse has primary responsibility for the day-to-day management of the Forward Global Infrastructure Fund. Mr. Visse was responsible for securities investment decisions on behalf of Kensington Investment Group, Inc.’s infrastructure portfolios from 2007 to June 2009. He joined Kensington in 2002 as an Analyst and began managing portfolios in 2007. Prior to joining Kensington, he was a Senior Research Analyst at Linsco/Private Ledger (LPL) Financial Services, where he followed REITs and financial services companies. Mr. Visse holds an MS in Business Administration. He is a Chartered Financial Analyst and a member of the CFA Institute and the CFA Society of San Francisco. Mr. Visse has managed the Forward Global Infrastructure Fund since its inception in June 2007. Mr. Visse has managed the Forward International Real Estate Fund, Forward Real Estate Long/Short Fund, and Forward Select Income Fund since June 2009 and the Forward Real Estate Fund since March 2010.
Michael McGowan Portfolio Manager 2009 2016
Biografie Mr. McGowan has been a portfolio manager for Forward Management since June 2009. Mr. McGowan was responsible for securities investment decisions on behalf of Kensington Investment Group, Inc.’s real estate portfolios from 2007 to June 2009. Mr. McGowan joined Kensington in 2005 as a Senior Analyst and began managing portfolios in 2007. Prior to joining Kensington, he was employed at RREEF since 1995 as a Director of Economic and Market Research where he specialized in industrial and office property markets. Prior to joining RREEF, Mr. McGowan was Vice President and co-founder of The Valuations Group where he performed valuations on real estate limited partnerships. Mr. McGowan began his career at Liquidity Fund Investment Corporation and MacKenzie Patterson. At both firms, he was involved in the syndication of real properties and the analysis and the reorganization of real estate securities. Mr. McGowan has managed the Forward International Real Estate Fund and Forward Real Estate Long/Short Fund since 2008, the Forward Global Infrastructure Fund and Forward Select Income Fund since June 2009, and the Forward Real Estate Fund since March 2010.
Jim O'Donnell CIO (Chief Investment Officer) 2009 2015
Biografie Jim O’Donnell, CFA. Mr. O’Donnell is Chief Investment Officer of Forward Management. He has held this position since July 2006. Mr. O’Donnell has overall responsibility for asset management at Forward Management. Mr. O’Donnell has co-primary responsibility for the day to day management of the Forward Tactical Enhanced Fund. From September 2001 to October 2002 and from February 2004 to May 2006, Mr. O’Donnell was an Analyst with Meisenbach Capital, conducting fundamental and financial analysis for a hedge fund portfolio. Between November 2002 and February 2004, Mr. O’Donnell was a consultant with Rainmaker Alliance, consulting with venture capital and start-up firms on financial models, projections and business strategy. From April 1993 to August 2001, Mr. O’Donnell was a Portfolio Manager for Nicholas-Applegate Capital Management, responsible for stock selection and financial analysis for large cap, mid cap, and small cap portfolios. Mr. O’Donnell is a Chartered Financial Analyst and holds an MBA.
Paul Gray Managing Partner 2001 2007
Biografie Mr. Paul Gray serves as Managing Partner and Chief Investment Officer at Orinda Asset Management. He brings over 25 years of investment experience to Orinda Asset Management. He is responsible for the Firm's research, investment strategy, investment process, and overall portfolio management of the real estate and income products. From June 2009 through February 2013, Mr. Gray served as a portfolio manager at Forward Management LLC managing three private hedge funds. From 1994 to June 2009, Mr. Gray, one of the co-founders, served as a portfolio manager and acted as co-chief investment officer for Kensington Investment Group, Inc. where he directed the firm's research and co-directed the investment strategy for the firm. Mr. Gray was instrumental in the development and portfolio management of five mutual funds investing primarily in real estate securities both domestically and internationally and one of the first mutual funds in the USA focusing on global infrastructure companies. From 1992 to 1994, Mr. Gray was the founder and a partner of Golden State Financial Services, a mortgage brokerage firm. From 1987 to 1992, Mr. Gray worked for Liquidity Fund Investment Corporation where he served as the director of research for the National Real Estate Index where he was responsible for designing the methodology and systems used to track real estate values throughout the USA. Mr. Gray received a Bachelors of Science in Business Administration with a dual emphasis in both Finance and Real Estate in 1988 from the Business School at the University of California at Berkeley.
Community-Richtlinien

Wir möchten Sie gerne dazu anregen, Kommentare zu schreiben, um sich mit anderen Nutzern auszutauschen. Teilen Sie Ihre Gedanken mit und/oder stellen Sie anderen Nutzern und den Kolumnisten Fragen. Um jedoch das Niveau zu erhalten, welches wir wertschätzen und erwarten, beachten Sie bitte die folgenden Kriterien:

  • Bereichern Sie die Unterhaltung
  • Bleiben Sie beim Thema. Veröffentlichen Sie nur Texte, die zu den genannten Inhalten passen. 
  • Respektieren Sie einander. Auch negative Meinungen und Kritik kann positiv und diplomatisch ausgedrückt werden. 
  • Benutzen Sie die anerkannten Ausdrucks- und Rechtschreibregeln. 
  • Beachten Sie: Spam, Werbenachrichten und Links werden gelöscht. 
  • Vermeiden Sie Profanität, Beleidigungen und persönliche Angriffe auf Kolumnisten oder andere Nutzer. 
  • Bitte kommentieren Sie nur auf Deutsch.

Diejenigen, die die oben genannten Regeln missachten, werden von der Webseite entfernt und können sich in der Zukunft je nach Ermessen von Investing.com nicht mehr anmelden.

KIFAX Kommentare

Was denken Sie über Westwood Select Income Fund A Class Shares
 
Sind Sie sicher, dass Sie diesen Chart löschen möchten?
 
Senden
Posten auf
 
Angehängten Chart durch einen neuen Chart ersetzen?
1000
Sie sind gegenwärtig aufgrund von negativen Nutzerbeurteilungen von der Abgabe von Kommentaren ausgeschlossen. Ihr Status wird von unseren Moderatoren überprüft.
Warten Sie bitte eine Minute bis zur erneuten Abgabe Ihres Kommentars.
Danke für Ihren Kommentar. Bitte beachten Sie, dass alle Kommentare erst nach vorheriger Überprüfung durch unsere Moderatoren veröffentlicht werden und deshalb nicht sofort auf unserer Webseite erscheinen können.
 
Sind Sie sicher, dass Sie diesen Chart löschen möchten?
 
Senden
 
Angehängten Chart durch einen neuen Chart ersetzen?
1000
Sie sind gegenwärtig aufgrund von negativen Nutzerbeurteilungen von der Abgabe von Kommentaren ausgeschlossen. Ihr Status wird von unseren Moderatoren überprüft.
Warten Sie bitte eine Minute bis zur erneuten Abgabe Ihres Kommentars.
Chart zum Kommentar hinzufügen
Sperre bestätigen

Sind Sie sicher, dass Sie %USER_NAME% sperren möchten?

Dadurch werden Sie und %USER_NAME% nicht mehr in der Lage sein, Beiträge des jeweils anderen auf Investing.com zu sehen.

%USER_NAME% wurde erfolgreich zu Ihrer Sperrliste hinzugefügt.

Da Sie diese Person entsperrt haben, müssen Sie 48 Stunden warten, bevor Sie sie wieder sperren können.

Diesen Kommentar melden

Sagen Sie uns Ihre Meinung zu diesem Kommentar

Kommentar markiert

Vielen Dank!

Ihre Meldung wurde zur Überprüfung an unsere Moderatoren geschickt
Mit Google registrieren
oder
Registrierung