Profil
Mr. Mitchell serves as chairman of the board, chief executive officer, and portfolio manager.
He received his BA in Finance and Accounting from Claremont McKenna College and his MBA from the University of Southern California.
He has been in the investment industry since 1969, including fifteen years as vice president of a Los Angeles management firm.
Mr. Mitchell has been with Provident Investment Counsel since 1983.
In addition to his responsibilities with our firm, he is active in local civic groups and serves on the boards of directors of several non-profit organizations.
Ehemalige bekannte Positionen von Thomas M. Mitchell
| Unternehmen | Position | Ende |
|---|---|---|
300 North Capital LLC
300 North Capital LLC Investment ManagersFinance 300 North Capital (300NC) specializes in long-only small-cap, small to mid-cap (SMID) and mid-cap growth equity strategies. The firm also manages accounts and funds with a global macro strategy. 300NC’s investment approach for small cap, mid-cap, and SMID-cap strategies focuses primarily on fundamental, bottom-up research. In addition, they overlay a top-down strategic outlook. Their equity universe consists of U.S. companies, ADRs, and relevant U.S. traded foreign companies with market-cap in the range of the relative Russell growth index. 300NC’s global macro product is a variable biased global macro strategy that primarily invests in equities, fixed income securities, commodities, and currencies. The strategy holds only listed, liquid securities, and maintains a gross invested position generally between 0% and 200% and net exposure generally between -100% and +200%, in normal capital market environments. | Präsident | 31.12.2005 |
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| Private Unternehmen | 1 |
|---|---|
300 North Capital LLC
300 North Capital LLC Investment ManagersFinance 300 North Capital (300NC) specializes in long-only small-cap, small to mid-cap (SMID) and mid-cap growth equity strategies. The firm also manages accounts and funds with a global macro strategy. 300NC’s investment approach for small cap, mid-cap, and SMID-cap strategies focuses primarily on fundamental, bottom-up research. In addition, they overlay a top-down strategic outlook. Their equity universe consists of U.S. companies, ADRs, and relevant U.S. traded foreign companies with market-cap in the range of the relative Russell growth index. 300NC’s global macro product is a variable biased global macro strategy that primarily invests in equities, fixed income securities, commodities, and currencies. The strategy holds only listed, liquid securities, and maintains a gross invested position generally between 0% and 200% and net exposure generally between -100% and +200%, in normal capital market environments. | Finance |
















