Timothy P. Dooling, CFA
Tim Dooling, a Chartered Financial Analyst, has over 20 years of investment experience. Mr. Dooling has been actively managing equity and derivative portfolios since 2001. He has held Senior Analyst positions at Torrey Pines Capital Management, Avalon Capital, and Sempra Commodities. He has been responsible for structuring and management of >billion dollar equity and derivative portfolios. Mr. Dooling was earlier the portfolio manager for North Island Partners, an equity long/short hedge fund in La Jolla.
After graduating from Santa Clara University in 1991, Mr. Dooling spent the next 10 years working overseas in the far corners of the planet. Fom 1991 to 1995, while based in Tashkent, Uzbekistan he was responsible for the research and execution of private equity and commodity transactions in Central Asia for the Meredith Jones Group, an English Cotton merchant. Subsequently, from 1995-2001 he worked for Robert Fleming Securities as an equity research analyst covering companies in Eastern Europe, the Middle East and Africa while based in London, England.
Mr. Dooling holds a Masters Degree (Accounting) from the University of San Diego. He graduated from the University of Santa Clara in 1991 with a degree in Finance. He is a fluent speaker of the Russian language and licensed Merchant Mariner. Including commercial passenger vessel Captain (100 tons) and a able seaman (unlimited). Mr. Dooling is a member of the American Finance Association, and the CFA Institute.
Time is a social construct and we see time through the life and nature around us. Understanding Time could give a unifying theory to research of a few thousand years and also bring more than a conventional thought down. It’s a revolution. Mukul has written and spoken globally on the geometry of TIME, patterns, risk and investing; has a data innovation patent filed in his name; is an enthusiastic R data scientist and runs Orpheus Risk Management Indices, a global Indexing company. The company has built and manages the multi strategy and multi styled Indices. Mukul is the author of "Risk Management Indexing", a book on the new Indexing approach. He is also a ranked author on the Social Science Research SSRN network. As a speaker he has been invited to speak at various platforms like the Bombay Stock Exchange, Prague Stock Exchange, Bucharest Stock Exchange, Market Technicians Association New York, Canadian Society of Technical Analysts, Saxo Bank, Thomson Reuters, TED, Princeton University, University of Chicago etc.
James A. Kostohryz has accumulated over twenty years of experience investing and trading virtually every asset class across the globe.
Kostohryz started his investment career as an analyst at one of the US's largest asset management firms covering sectors as diverse as emerging markets, banking, energy, construction, real estate, metals and mining. Later, Kostohryz became Chief Global Strategist and Head of International Investments for a major investment bank. Kostohryz currently manages his own investment firm, specializing in proprietary trading and institutional portfolio management advisory.
Born in Mexico, Kostohryz grew up between south Texas and Colombia, has lived and worked in nine different countries, and has traveled extensively in more than 50 others. Kostohryz actively pursues various intellectual interests and is currently writing a book about the impact of culture on economic development. He is a former NCAA and world-class decathlete and has stayed active in a variety of sports.
Kostohryz graduated with honors from both Stanford University and Harvard Law School.
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