Profil
George Shilowitz currently works at StoneCastle Asset Management LLC, as Managing Partner & Co-Chief Executive Officer, StoneCastle Partners LLC, as Co-Chief Executive Officer & Director, StoneCastle Cash Management LLC, as Director, and StoneCastle Partners LLC (Private Equity), as Senior Portfolio Manager & Principal from 2010.
Mr. Shilowitz also formerly worked at Arrowmark Financial Corp., as President & Director, First Boston Corp., as Member-Fixed Income Mortgage, Salomon Brothers Asset Management, Inc., as Principal, Lehman Brothers Asset Management LLC, as Senior Vice President, and Shinsei Capital (USA) Ltd., as President.
Mr. Shilowitz received his undergraduate degree from Cornell University.
Aktive Positionen von George Shilowitz
| Unternehmen | Position | Beginn |
|---|---|---|
StoneCastle Partners LLC (Private Equity)
StoneCastle Partners LLC (Private Equity) Investment ManagersFinance StoneCastle Partners manages two private equity funds that specialize in leveraged, fixed income-focused investments in the obligations and assets of private small and medium-sized banks and financial institutions. The firm tends to invest in the assets and liabilities of smaller, often privately-held firms that lack direct access to the mainstream capital markets | Private Equity Investor | - |
StoneCastle Partners LLC
StoneCastle Partners LLC Information Technology ServicesTechnology Services Develops technologies for banking industries | Vorstandsvorsitzender | 01.01.2003 |
StoneCastle Asset Management LLC
StoneCastle Asset Management LLC Investment ManagersFinance StoneCastle selects its investments through rigorous initial and ongoing issuer screening and manages its portfolio using a conservative credit discipline, as evidenced by the high underlying credit quality of its investments. | Mitglied des Investmentausschusses | - |
StoneCastle Cash Management LLC
StoneCastle Cash Management LLC Investment ManagersFinance Provides cash management services | Direktor/Vorstandsmitglied | - |
Ehemalige bekannte Positionen von George Shilowitz
| Unternehmen | Position | Ende |
|---|---|---|
Lehman Brothers Asset Management LLC
Lehman Brothers Asset Management LLC Investment Banks/BrokersFinance For active fixed-income, LBAM's decision-making process incorporates controlled duration decisions, sector decisions, and individual issue valuation decisions. They base interest rate and sector-related investment decisions on our economic growth forecast. The firm uses risk exposure analysis and risk budgeting models to quantify and manage risks associated with strategies that they design to add value relative to the benchmark index. Individual issue selections result from internal research generated by research specialists. They diversify holdings to reduce credit exposure to individual issuers. Eligible investments for core strategies include US dollar denominated investment-grade securities; for core plus strategies the universe of securities expands to include high yield. For passive bond indexing, LBAM seeks to take advantage of risk premiums as they are reflected in individual security prices. These premiums offer compensation for accepting credit and structure risks associated with individual issues. Explicit quantification and control of risks are at the heart of this investment process. The firm uses proprietary risk exposure analysis to analyze yield curve factors and spread-related factors. For each yield curve and spread factor, the portfolio is very closely matched to the index to ensure that the portfolio earns the same return as the index for any change in interest rates or change in sector spreads. Based on internally generated research, they integrate individual issue selections into the portfolio without disrupting the integrity of the portfolio structure. Holdings are diversified to reduce credit exposure to individual issuers. Eligible investments include securities included in the index, plus those that are their equivalents in terms of credit and structure risks. LBAM's high yield bond management decision-making process begins with a macro-economic framework for determining the appropriate portfolio structure according to defensive versus cyclical industries and appropriate quality orientation (between high BB to low B). Once they have established the overall structure, the firm determines specific industry weights and individual issuer selections. Their research analysts focus on identifying securities that exhibit improving credit fundamentals while avoiding those that experience deterioration in their credit quality. LBAM diversifies holdings to reduce credit exposure to individual issuers. Eligible investments include dollar denominated bonds rated below investment-grade including Rule 144A securities and the full range of structures such as pay-in-kind bonds, interest reset bonds and other instruments that are consistent with high yield investing. | Corporate Officer/Principal | 31.12.1999 |
| ARROWMARK FINANCIAL CORP. | Präsident | - |
First Boston Corp.
First Boston Corp. Real Estate Investment TrustsFinance Operates as real estate investment trusts | Corporate Officer/Principal | - |
Salomon Brothers Asset Management, Inc.
Salomon Brothers Asset Management, Inc. Investment ManagersFinance Manages assets. | Corporate Officer/Principal | - |
Shinsei Capital (USA) Ltd.
Shinsei Capital (USA) Ltd. Finance/Rental/LeasingFinance Provides banking and lending services | Präsident | - |
Ausbildung von George Shilowitz
Erfahrungen
Besetzte Positionen
Aktive
Inaktive
Börsennotierte Unternehmen
Private Unternehmen
Beziehungen
Beziehungen ersten Grades
Unternehmen ersten Grades
Herr
Frau
Aufsichtsräte
Führungskräfte
Unternehmensverbindungen
| Private Unternehmen | 10 |
|---|---|
First Boston Corp.
First Boston Corp. Real Estate Investment TrustsFinance Operates as real estate investment trusts | Finance |
Salomon Brothers Asset Management, Inc.
Salomon Brothers Asset Management, Inc. Investment ManagersFinance Manages assets. | Finance |
Lehman Brothers Asset Management LLC
Lehman Brothers Asset Management LLC Investment Banks/BrokersFinance For active fixed-income, LBAM's decision-making process incorporates controlled duration decisions, sector decisions, and individual issue valuation decisions. They base interest rate and sector-related investment decisions on our economic growth forecast. The firm uses risk exposure analysis and risk budgeting models to quantify and manage risks associated with strategies that they design to add value relative to the benchmark index. Individual issue selections result from internal research generated by research specialists. They diversify holdings to reduce credit exposure to individual issuers. Eligible investments for core strategies include US dollar denominated investment-grade securities; for core plus strategies the universe of securities expands to include high yield. For passive bond indexing, LBAM seeks to take advantage of risk premiums as they are reflected in individual security prices. These premiums offer compensation for accepting credit and structure risks associated with individual issues. Explicit quantification and control of risks are at the heart of this investment process. The firm uses proprietary risk exposure analysis to analyze yield curve factors and spread-related factors. For each yield curve and spread factor, the portfolio is very closely matched to the index to ensure that the portfolio earns the same return as the index for any change in interest rates or change in sector spreads. Based on internally generated research, they integrate individual issue selections into the portfolio without disrupting the integrity of the portfolio structure. Holdings are diversified to reduce credit exposure to individual issuers. Eligible investments include securities included in the index, plus those that are their equivalents in terms of credit and structure risks. LBAM's high yield bond management decision-making process begins with a macro-economic framework for determining the appropriate portfolio structure according to defensive versus cyclical industries and appropriate quality orientation (between high BB to low B). Once they have established the overall structure, the firm determines specific industry weights and individual issuer selections. Their research analysts focus on identifying securities that exhibit improving credit fundamentals while avoiding those that experience deterioration in their credit quality. LBAM diversifies holdings to reduce credit exposure to individual issuers. Eligible investments include dollar denominated bonds rated below investment-grade including Rule 144A securities and the full range of structures such as pay-in-kind bonds, interest reset bonds and other instruments that are consistent with high yield investing. | Finance |
StoneCastle Asset Management LLC
StoneCastle Asset Management LLC Investment ManagersFinance StoneCastle selects its investments through rigorous initial and ongoing issuer screening and manages its portfolio using a conservative credit discipline, as evidenced by the high underlying credit quality of its investments. | Finance |
ArrowMark Financial Corp.
ArrowMark Financial Corp. Investment Trusts/Mutual FundsMiscellaneous Acts as Closed-End Investment Fund/Investment Trust | Miscellaneous |
Cornell University
Cornell University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Shinsei Capital (USA) Ltd.
Shinsei Capital (USA) Ltd. Finance/Rental/LeasingFinance Provides banking and lending services | Finance |
StoneCastle Partners LLC (Private Equity)
StoneCastle Partners LLC (Private Equity) Investment ManagersFinance StoneCastle Partners manages two private equity funds that specialize in leveraged, fixed income-focused investments in the obligations and assets of private small and medium-sized banks and financial institutions. The firm tends to invest in the assets and liabilities of smaller, often privately-held firms that lack direct access to the mainstream capital markets | Finance |
StoneCastle Partners LLC
StoneCastle Partners LLC Information Technology ServicesTechnology Services Develops technologies for banking industries | Technology Services |
StoneCastle Cash Management LLC
StoneCastle Cash Management LLC Investment ManagersFinance Provides cash management services | Finance |
















