Elizabeth Bell is Principal of the Investment team at Jaguar Growth Partners and responsible for investment analysis, transaction structuring, due diligence, and
portfolio company management.
Our investment team views
our portfolio company management teams and boards of directors as partners, and we engage with them to ensure the greatest value for shareholders over the long term.
In addition, he is sourcing investment opportunities, developing investment theses with industry executives, and works closely with
portfolio company management teams to develop and execute strategic growth and operational improvement plans.
We invest as very active owners, preferring to have strong friendly relationships with
the portfolio company managements and boards, but never afraid to take any and all measures that are in the best interests of protecting and creating value, including proxy fights or other legal steps.
Not exact matches
• Calero Software, a
portfolio company of Riverside Partners, has acquired A&B Groep, a Netherlands - based provider of telecom expense
management solutions.
• Xactly, a
portfolio company of Vista Equity Partners, acquired Obero, a Canada - based sales performance
management company.
The best buys for today's retirement
portfolio are
companies that grow dividends annually and expand earnings every quarter, says Renato Anzovino, vice-president and
portfolio manager with Heward Investment
Management.
About Marriott Vacations Worldwide Corporation Marriott Vacations Worldwide Corporation is a leading global pure - play vacation ownership
company, offering a diverse
portfolio of quality products, programs and
management expertise with over 65 resorts.
• Joulon, a
portfolio company of KKR, acquired Harris Pye Engineering Group Limited, a U.K. - based provider of engineering and project
management services to the marine, offshore and industrial sectors.
The firm has 8
companies in its
portfolio so far, including drone software developer Airware and social media
management company Sprinklr.
It's about getting much better at talent assessment and talent performance
management in
portfolio companies.
Jake Gilliam, senior
portfolio strategist at Charles Schwab Investment
Management, plays a role in constructing that
company's expansive target - date product line.
• Calero Software, a
portfolio company of Riverside Partners, acquired Comview Corporation, a Huntington Station, N.Y. - based specialty telecom expense
management, call accounting and usage
management software and services provider.
FFO as adjusted is generally calculated by the
Company as NAREIT FFO excluding certain transactional income and expenses and non-operating impairments which management believes are not reflective of the results within the company's operating real estate por
Company as NAREIT FFO excluding certain transactional income and expenses and non-operating impairments which
management believes are not reflective of the results within the
company's operating real estate por
company's operating real estate
portfolio.
«The best way to think about them is as a private - equity shop operating in the software industry,» says Jeff Mo, a
portfolio manager with Calgary's Mawer Investment
Management, which has a 12 % stake in the
company.
• LOGIX Communications, a
portfolio company of Astra Capital
Management, agreed to acquire Alpheus Communications, a Houston, Texas - based provider of telecommunications and data center services.
Had the producers at the CBC put the
company's
management in front of the Dragons, they likely would have discovered De Palma and Co. were neither licensed nor qualified to market and manage a
portfolio of real estate investments.
Among the factors that could cause actual results to differ materially are the following: (1) worldwide economic, political, and capital markets conditions and other factors beyond the
Company's control, including natural and other disasters or climate change affecting the operations of the
Company or its customers and suppliers; (2) the
Company's credit ratings and its cost of capital; (3) competitive conditions and customer preferences; (4) foreign currency exchange rates and fluctuations in those rates; (5) the timing and market acceptance of new product offerings; (6) the availability and cost of purchased components, compounds, raw materials and energy (including oil and natural gas and their derivatives) due to shortages, increased demand or supply interruptions (including those caused by natural and other disasters and other events); (7) the impact of acquisitions, strategic alliances, divestitures, and other unusual events resulting from
portfolio management actions and other evolving business strategies, and possible organizational restructuring; (8) generating fewer productivity improvements than estimated; (9) unanticipated problems or delays with the phased implementation of a global enterprise resource planning (ERP) system, or security breaches and other disruptions to the
Company's information technology infrastructure; (10) financial market risks that may affect the
Company's funding obligations under defined benefit pension and postretirement plans; and (11) legal proceedings, including significant developments that could occur in the legal and regulatory proceedings described in the
Company's Annual Report on Form 10 - K for the year ended Dec. 31, 2017, and any subsequent quarterly reports on Form 10 - Q (the «Reports»).
She also oversaw corporate alliances and the
company's global real estate organization, including development,
portfolio management and facilities
management.
While VCs can't totally dictate what business software that their
portfolio companies use, Murphy noted, many have recommended eShares for cap table
management to all of the
companies they've backed.
Before you even buy a stock, take a three - to five - year view of a
company, recommends Anthony Hammill, a
portfolio manager with Broadview Capital
Management.
• Loftware Inc, a
portfolio company of Riverside Partners, acquired Gap Systems, a U.K. - based provider of SaaS - based artwork
management solutions.
Matthew Strauss, vice-president of
portfolio management with Toronto's Signature Global Advisors, adds that, since the recession, the focus has changed from buying export - focused
companies to businesses that sell to the domestic consumer.
The
portfolio management team uses a variety of investment strategies to search for
companies suitable for investment in the fund, including factors such as growth in earnings, return on equity, and revenue.
• Trident Maritime Systems, a Virginia - based
portfolio company of J.F. Lehman & Co., has agreed to acquire Callenberg Technology Group, a Swedish maker of HVAC, electrical energy
management and insulation systems for commercial and government vessels, from Wilhelmsen Maritime Services AS.
He is a partner of ValueAct Capital, a governance - oriented investment fund that invests in a concentrated
portfolio of public
companies and works actively with executives and boards of directors on issues of strategy, capital structure, mergers and acquisitions, and talent
management.
Taking on that kind of debt would be a risk the
company can ill afford amid headwinds in Canada as consumers carry record debt, said Stephen Groff, who helps run $ 6 billion as a
portfolio manager at Cambridge Global Asset
Management, a unit of CI Investments Inc..
He is personally involved in all acquisitions, dispositions and other material transactions, and maintains a hands on
management approach with The Khoshbin
Company with a commercial real estate
portfolio in excess of 2,200,000 Square Feet in 6 states.
Rob previously served as Chief Credit Officer of GreenSky, where he developed credit policy, pricing and
portfolio management strategies to enable significant growth in the
company's loan
portfolio.
Advisory and
portfolio management company Peak Asset Management is overseeing the mooted deal and will kick off an institutional roadshow in Melbourne and Sydney
management company Peak Asset
Management is overseeing the mooted deal and will kick off an institutional roadshow in Melbourne and Sydney
Management is overseeing the mooted deal and will kick off an institutional roadshow in Melbourne and Sydney next week.
While the
company shelled out roughly $ 20 billion for Anacor and Medivation in 2016, we would not be surprised if
management executed another large - scale deal this year should some of the aforementioned
portfolio pressures persist.
Alternatively, working with a high - quality asset
management company that charged no more than 1.50 % in per annum in
management fees but who provided the white - glove service that made comprehensive tax, estate, and
portfolio planning easier, might have made it possible to achieve financial independence and multi-generational wealth much more quickly.
He also takes on investment
management responsibilities and provides strategic consulting to the Hedgewood
portfolio companies.
This process enables Carlyle professionals to more effectively evaluate the operations of a target
company, identify the most promising environmental
management opportunities and incorporate them into the post-investment
management, governance and reporting plans of our
portfolio companies.
Cairngorm Capital's unique mix of sectoral expertise and investment skill enables it to be actively involved in the strategy and operational focus of
portfolio companies, partnering with
management teams to grow revenue, enhance margins, improve cash flow or consolidate industry leadership positions.
Jack works with NEP
portfolio company CEOs and
management teams to develop and execute strategies to grow revenues and EBITDA while also supporting our investment team in assessing value creation potential of new deals.
NOIDA, INDIA, April 2, 2018 — Motherson Sumi Systems Limited (MSSL), flagship
company of the Samvardhana Motherson Group (SMG), through its step down subsidiary Samvardhana Motherson Automotive Systems Group B.V. (SMRP BV), today announced the proposed acquisition of Reydel Automotive Group (Reydel), a privately held
portfolio company of Cerberus Capital
Management, L.P. (Cerberus) that manufactures interior components and modules for global automotive customers.
Previous roles have included: Vice President and fixed income
Portfolio Manager with The Haverford Trust
Company; Managing Director with Evergreen Investments» Customized Fixed Income group; liquidity products trading at JPMorgan and a member of the bank's «financial
management education» program.
At ACAS, Mr. Ranson made private equity and debt investments in middle market
companies while helping establish the
company's
portfolio management group.
Prior to joining MacFarlane Partners, she worked at the Stanford
Management Company where she focused on portfolio management and risk analytics as well as hedge fund
Management Company where she focused on
portfolio management and risk analytics as well as hedge fund
management and risk analytics as well as hedge fund investing.
This website is intended to provide our potential
portfolio companies and
management partners with information about how we may be able to partner together to help businesses.
Mr. Yusko and Managing Director Mike Hennessy were responsible for building the Investment Office and subsequent
Management Company operations for the UNC Endowment, and they worked closely with the Investment Fund Board to develop investment policy, set goals and objectives, establish a strategic framework, select investment managers and manage
portfolio risk.
He is personally involved in all acquisitions, dispositions, other material transactions, and maintains a hands on
management of The Khoshbin
Company, which has a commercial real estate
portfolio in excess of 2,200,000 Sq. ft. in 6 USA states.
Going forward, Buffett plans to segregate the
portfolio management role from the CEO role for his
company.
The
Company's experienced
management team has assembled an outstanding
portfolio of gold, silver and copper exploration assets, and is focused on advancing its flagship Diablillos silver - gold property, with an Indicated Mineral Resource containing 80.9 M oz Ag and 732k oz Au, through the various stages of feasibility.
About Marriott Vacations Worldwide Corporation Marriott Vacations Worldwide Corporation is the leading global pure - play vacation ownership
company offering a diverse
portfolio of quality products, programs and
management expertise with more than 60 resorts and more than 420,000 Owners and Members.
The
Company's experienced
management team has assembled an outstanding
portfolio of gold, silver and copper exploration assets, and is focused on advancing its flagship Diablillos, with an indicated resource of 81.3 m oz Ag and 755k oz Au, through the various stages of feasibility..
The
Company's experienced
management team has assembled an outstanding
portfolio of gold, silver and copper exploration assets, and is focused on expanding and advancing its flagship Diablillos property, with an Indicated Resource of 81.3 m oz Ag and 755k oz Au, through the various stages of feasibility.
The
Company's experienced
management team has assembled an outstanding
portfolio of gold, silver and copper exploration assets, and is focused on advancing its flagship Diablillos property, with an indicated resource of 81.3 m oz Ag and 755k oz Au, through the various stages of feasibility.
Combining investment research and
portfolio management with direct client relationships, Mr. Roberts also served as the firm's Chief Compliance Officer from 2004 - 2016 and represents KF investors as a director or observer on the boards of several private venture
companies.