Jeff Geffen

Jeff Geffen

Portfolio Manager-Fixed Income presso EULAV Asset Management

Finance
Consumer Services

Profilo

Mr. Jeffrey D.
Geffen
is a Portfolio Manager at EULAV Asset Management.
He is a Portfolio Manager specializing in fixed income at the advisor since 2001.
Prior to joining Value Line Funds, Mr. Geffen was a Vice President of Investments at Morgan Stanley where, for over twelve years, he managed fixed-income funds totaling $4.5 billion in assets.
He co-managed two balanced funds, responsible for the fixed income allocation.
Before Morgan Stanley, he worked as an investment analyst with Jefferson Insurance Company, a subsidiary of Allianz, the German insurance company.
Mr. Geffen received an M.B.A.
in Finance from Adelphi University, graduating with honors.
He has additional Masters degrees from Columbia University and the University of Pittsburgh.

Posizioni attive di Jeff Geffen

SocietàPosizioneInizio
Portfolio Manager-Fixed Income 01/01/2001
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Precedenti posizioni note di Jeff Geffen

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Corporate Officer/Principal -
Corporate Officer/Principal -
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Formazione di Jeff Geffen

The Trustees of Columbia University in The City of New York Graduate Degree
Adelphi University Masters Business Admin
University of Pittsburgh Graduate Degree

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Relazioni

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6

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