Born and raised in the USA, graduated with a degree in Finance then worked at a multi-strategy global hedge fund for about 4 years analyzing stocks all over the world. In 2007 I left the USA and moved to China to study Chinese and start a business. Now, I am the CEO and Co-founder of eFin which provides wall street level research to main street investors via a proprietary algorithm. Our eFin scoe that takes into consideration hundreds of factors to provide the best period of time to make an investment in a stock.
Nevertheless, my experience working at the hedge fund and running my own business has improved vastly my investment making decisions. I believe Warren Buffett said it best “I am a better investor because I am a businessman and a better businessman because I am an investor”. I have had my share of busts and winners and have gotten wise enough to always look at both sides of every investment no matter how negative or optimistic the situation is.
Yaron “Ron” Reuven is the President & Chief Investment Officer of Reuven Capital Investments, LP. His expertise is in business valuations, financial model & theory analysis, and financial industry compliance. Throughout his 15 year career, Ron has been a valuable asset to many business owners and executives by managing their investments as well as advising them on countless business matters. Ron began his American dream at the age of 10 when his family emigrated from Israel to the United States. He became involved in business early on and has been exposed to a variety of industries and business models. This eclectic experience has cemented his distinctive investment and business philosophy. Establishing a FINRA MEMBER BROKER/DEALER when he was just 26 years old made Mr. Reuven one of the youngest individuals to ever independently open a FINRA member firm. Ron’s contrarian point of view and broad range of management, financial, and investment experience offers a unique value to the firm’s clients.
Yaron “Ron” Reuven began his career in the financial services industry at a New York City branch of First Union in 1999. There he began developing his own due diligence process and investment philosophy. By mid 2001, he was recruited by Raymond James Financial (NYSE:RJF), one of the largest financial services firms in the United States. At Raymond James, he began to implement his own concentrated investment philosophy and built strong relationships with his clients. Throughout one of the most difficult environments in market history Ron successfully became the third largest producing broker in the United States for Raymond James in August 2003.
Subsequently in an effort to expand the services and products he was able to offer his clients, Ron started a Wall Street office with another national independent broker/dealer based in Florida. He quickly became the firm’s largest producing broker and branch. In order to truly accomplish his long term goals, he realized that he and his team needed to be completely independent. In November 2006 REUVEN ENTERPRISES SECURITIES DIVISION (RESD) A FINRA/SIPC MEMBER FIRM AND MSRB LICENSED DEALER was founded. This was a massive undertaking which allowed Ron to truly implement his long term investment philosophy, and ultimately launch his hedge fund. In 2009 REUVEN CAPITAL INVESTMENTS, LP FUND (RCI) was launched. RCI is a long/short equity fund with a selectively concentrated portfolio. Ron’s ultimate goal for RCI is to have shareholder representation on the board of some of the companies the fund invests in.
Mr. Reuven is a NFL PLAYERS ASSOCIATION REGISTERED PLAYER FINANCIAL ADVISOR, and is involved with multiple charitable organizations, philanthropic work and public speaking. His unique philosophy, track record, and incisive financial commentary have been featured by Bloomberg, CNBC, NDTV, SNN WIRE, MANN, CNN, and GotGame.
MR. YARON “RON” REUVEN HOLDS THE FOLLOWING LICENSES:
Registered Options Principal (Series 4)
General Securities Representative (Series 7),
General Securities Principal (Series 24),
Municipal Securities Principal (Series 53),
Uniform Securities Agent State Law (Series 63),
Investment Banking Representative (Series 79)
Licensed Operations Professional (Series 99)
Licensed Life Insurance Agent and Registered Financial Planner RFP®
and CEO of Member FINRA Broker Dealer.
Lee is the general partner of Qualitas Capital Management, a private investment partnership that pursues capital appreciation by seeking superior risk-adjusted investment returns. The partnership invests in the public equities of high quality firms with solid and consistent growth prospects that Lee believes are significantly undervalued based on fundamental analysis. The partnership has a flexible mandate to invest across all business sectors, global regions, and market capitalizations. The partnership typically focuses on firms that Lee believes are relatively underfollowed and often misunderstood yet have what he views as attractive businesses, valuations, and catalysts.
Prior to forming Qualitas, Lee was a portfolio manager at Gator Capital Management ("Gator Capital"). At Gator Capital, Lee was responsible for launching and solely managing the Gator Opportunities Fund (the "Fund"), an open-end equity mutual fund registered with the SEC. During Lee's tenure as portfolio manager of the Fund, he delivered annualized returns of 11.2% (Institutional Class) / 10.9% (Retail Class) from the Fund's inception and outperformed Russell 2500® Index benchmark by 573 and 545 basis points, respectively, over that period. The Fund was ranked in the top 1% of 399 funds in Morningstar's peer category in its first year from inception and in the top 13% year-to-date through October. The Fund was also ranked 10th out of 447 funds in Lipper's "category killers" table in April for year-to-date performance (Wall Street Journal, 5/4/15).
Prior to joining Gator Capital, Lee was a member of the Fundamental Equities Group at Goldman Sachs Asset Management (GSAM). Lee's responsibilities at GSAM covered the gamut of the fundamental equities investment process from idea origination, research, analysis, and implementation to portfolio sector construction and management, risk monitoring, and strategic review. While at GSAM, Lee contributed significantly to the successful launch and growth of all-cap, mid-cap, small/mid-cap, and long/short equity investment products. Lee also provided analytical coverage primarily of the industrials and technology sectors across all market capitalizations.
Prior to joining GSAM, Lee was a co-founder of Tower Hill Securities, a merchant banking firm that focused on funding global emerging growth companies across various business sectors. Prior to co-founding Tower Hill, Lee was a founding member of the strategic consultancy Mitchell Madison Group, and an associate in the Financial Institutions/Services Practice of management consulting firm A. T. Kearney. Prior to joining A. T. Kearney, Lee was also a Faculty Lecturer at Princeton University's Woodrow Wilson Schools, where he co-taught several courses in applied quantitative and economic analysis with Professors Ben Bernanke and Alan Krueger.
Lee is a Chartered Financial Analyst (CFA) and a member of the CFA Institute and New York Society of Security Analysts (NYSSA). Lee received his BA from Yale University, his MPA from Princeton University, and his MBA from Stanford University, all with the highest honors and concentrations in economics, finance, and investment management.