Benjamin Shepherd, editor of Global Investment Strategist (http://www.globalinvestmentstrategist.com), focuses on time-tested investment strategies and high growth emerging markets which have proven themselves in both bull and bear cycles. He and his team spend hours every month discussing the state of the global economy and the markets with many of the best known and well-respected money managers in the industry. They then distill that wisdom and their own analysis into actionable advice geared towards generating returns while preserving capital for equity investors. Mr. Shepherd is also editor of Benjamin Shepherd's Wall Street, formerly Louis Rukeyser's Wall Street, and associate editor of Personal Finance, one of the world’s most widely-read investment newsletters, contributing his knowledge of the fund industry and emerging markets to the newsletter’s ongoing commentary.
Gary retired in March 2012 after 38 years in Information Technology and Global Software sales. He has an MBA in Finance from Case Western Reserve University in Cleveland. Gary has self managed his investment portfolio since the early 80s with the goal of a mid 50s retirement. His primary objectives now are income stream and capital preservation. Gary hopes to stimulate discussion with his retired colleagues with an emphasis on Bonds.
Frank Holmes is CEO and chief investment officer of U.S. Global Investors, Inc., a boutique investment advisory firm based in San Antonio that manages domestic and offshore funds specializing in the natural resources and emerging markets sectors. The company’s no-load mutual funds include the Global Resources Fund (PSPFX), the World Precious Minerals Fund (UNWPX) and the Gold and Precious Metals Fund (USERX). For more insight and perspective from Mr. Holmes, please visit his investment blog, “Frank Talk” (http://www.usfunds.com/investor-resources/frank-talk/).
Worked for big software and financial companies for 20+ years. Investing for past 15+ years his own portfolio. Eclectic approach biased toward value investing, dividends, trend investing, CEFs, option selling and hedging at market extremes.