Profiel
Eric J.
Sloane is currently a Managing Director at Private Equity Management Group LLC and a Partner at Southfield Mezzanine Associates LLC.
Previously, he held positions as a Director at Countrywide Securities Corp., Managing Director at Reedlands Property Owners Association and Antaeus Capital, Inc., Partner at Southfield Capital Advisors LLC, Chief Investment Officer at Miles Capital, Inc. and Investors Management Group, Inc., and Vice President at Public Storage.
He obtained his undergraduate degree from California State University-Northridge.
Laatste nieuws over Eric Sloane
Actieve functies van Eric Sloane
| Bedrijven | Functie | Begin |
|---|---|---|
Southfield Mezzanine Associates LLC
Southfield Mezzanine Associates LLC Investment ManagersFinance Southfield Mezzanine invests in companies located in the United States with an EBITDA of USD 3 million. The firm focuses on a broad range of sectors and industries. It participates in recapitalizations and growth stage capital requirements with an investment size of USD 5 - 20 million. | Private Equity Investor | 01-11-2011 |
Private Equity Management Group LLC | Private Equity Investor | - |
Eerdere bekende functies van Eric Sloane
| Bedrijven | Functie | Einde |
|---|---|---|
Investors Management Group, Inc.
Investors Management Group, Inc. Real Estate DevelopmentFinance Operates as a real estate firm that provides asset management, acquisition and multifamily real estate syndication services | Algemeen Directeur | 31-01-2012 |
Miles Capital, Inc.
Miles Capital, Inc. Investment ManagersFinance Miles Capital seeks to provide investment strategies that identify and control risk while capitalizing on long-term economic, demographic and cultural trends, as well as fundamental shifts in business practices. The firm provides investment advisory services to their clients through customized portfolios which include: equity securities (exchange-listed securities, ETFs, securities traded over-the-counter, and ADRs); warrants; corporate debt securities; commercial paper; municipal securities; investment company securities (mutual funds shares); US Government securities; and other securities, including convertible bonds, preferred stocks, or alternative assets (private equity hedge funds, real estate, and commodities). Miles Capital evaluates holdings through their own fundamental research, a proven valuation model and access to outside resources. Miles Capital’s equity strategies are based on their belief that buying high quality stocks, trading at a reasonable valuation, at the right moment in time is the key to generating long-term excess returns. The firm manages five equity strategies: Large-Cap Core, Dividend Advantage, Small-Cap Core, International, and REITs. Miles Capital's investment process begins with identifying the appropriate universe of securities that will be filtered and used to construct the model portfolio. They then identify the target risk and portfolio metrics for each strategy, based on research and the characteristics of each unique selection set. The goal is to minimize unintended risks and limit downside volatility. Their security selection process is a bottom-up oriented, two-step process that focuses on identifying securities with the characteristics they believe are necessary to deliver economic value. The first step is a quantitative screening process. The securities are ranked to efficiently narrow the universe of securities to a group with consistent earnings and profitability characteristics and strong liquidity, while maintaining diversification across market capitalizations, sectors, and subsectors. The second step is a qualitative analysis. Fundamental analysis is conducted on an organized group of stocks that already exhibit attractive characteristics. The ultimate goal of their selection process is to build a diversified portfolio of stocks that have attractive asymmetric return profiles strong upside potential with limited downside risk. Miles Capital manages a variety of fixed income strategies, including: Core Fixed Income, Intermediate Core, Intermediate High Quality, Tax Advantaged Bond and Customized target Duration (Insurance and Sector Specific). Their investment process begins with a top-down analysis of the global and domestic trends that influence the US dollar denominated fixed income market. The process then defines a desired level of interest rate risk, yield curve positioning, sector rotation and security selection. The selection of specific issues to be included in a portfolio is a bottom-up process which identifies the best securities within a sector or industry that already has been identified as attractive through the top-down analysis. These decisions are combined with defined risk parameters to achieve an optimal portfolio. | Chief Investment Officer | 30-01-2012 |
Reedlands Property Owners Association | Private Equity Investor | 31-12-2007 |
Antaeus Capital, Inc.
Antaeus Capital, Inc. Investment Banks/BrokersFinance Provides brokerage services | Private Equity Investor | 31-12-2007 |
| PUBLIC STORAGE | Corporate Officer/Principal | - |
Opleiding van Eric Sloane
Ervaring
Beklede functies
Actief
Inactief
Beursgenoteerde bedrijven
Bedrijven in privébezit
Connecties
Eerstegraads connecties
Bedrijven verbonden in de eerste graad
Man
Vrouw
Besturend
Uitvoerend
Verwante bedrijven
| Bedrijven in privébezit | 10 |
|---|---|
Public Storage
Public Storage Real Estate Investment TrustsFinance Operates as a real estate investment trust that engages in ownership and development of self-storage facilities including tenant reinsurance and third-party self-storage management | Finance |
Countrywide Securities Corp.
Countrywide Securities Corp. Investment Banks/BrokersFinance Offers brokerage services | Finance |
California State University-Northridge
California State University-Northridge Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Reedlands Property Owners Association | |
Southfield Capital Advisors LLC
Southfield Capital Advisors LLC Investment ManagersFinance Southfield Capital invests in lower middle market companies located in the North America with an EBITDA of USD 4 - 20 million. The firm focuses on outsourced business services, specialty finance and value added distribution. It participates in buyouts and growth stage capital transactions with an investment size of USD 20- 80 million. It also makes controlling and minority investments. | Finance |
Antaeus Capital, Inc.
Antaeus Capital, Inc. Investment Banks/BrokersFinance Provides brokerage services | Finance |
Miles Capital, Inc.
Miles Capital, Inc. Investment ManagersFinance Miles Capital seeks to provide investment strategies that identify and control risk while capitalizing on long-term economic, demographic and cultural trends, as well as fundamental shifts in business practices. The firm provides investment advisory services to their clients through customized portfolios which include: equity securities (exchange-listed securities, ETFs, securities traded over-the-counter, and ADRs); warrants; corporate debt securities; commercial paper; municipal securities; investment company securities (mutual funds shares); US Government securities; and other securities, including convertible bonds, preferred stocks, or alternative assets (private equity hedge funds, real estate, and commodities). Miles Capital evaluates holdings through their own fundamental research, a proven valuation model and access to outside resources. Miles Capital’s equity strategies are based on their belief that buying high quality stocks, trading at a reasonable valuation, at the right moment in time is the key to generating long-term excess returns. The firm manages five equity strategies: Large-Cap Core, Dividend Advantage, Small-Cap Core, International, and REITs. Miles Capital's investment process begins with identifying the appropriate universe of securities that will be filtered and used to construct the model portfolio. They then identify the target risk and portfolio metrics for each strategy, based on research and the characteristics of each unique selection set. The goal is to minimize unintended risks and limit downside volatility. Their security selection process is a bottom-up oriented, two-step process that focuses on identifying securities with the characteristics they believe are necessary to deliver economic value. The first step is a quantitative screening process. The securities are ranked to efficiently narrow the universe of securities to a group with consistent earnings and profitability characteristics and strong liquidity, while maintaining diversification across market capitalizations, sectors, and subsectors. The second step is a qualitative analysis. Fundamental analysis is conducted on an organized group of stocks that already exhibit attractive characteristics. The ultimate goal of their selection process is to build a diversified portfolio of stocks that have attractive asymmetric return profiles strong upside potential with limited downside risk. Miles Capital manages a variety of fixed income strategies, including: Core Fixed Income, Intermediate Core, Intermediate High Quality, Tax Advantaged Bond and Customized target Duration (Insurance and Sector Specific). Their investment process begins with a top-down analysis of the global and domestic trends that influence the US dollar denominated fixed income market. The process then defines a desired level of interest rate risk, yield curve positioning, sector rotation and security selection. The selection of specific issues to be included in a portfolio is a bottom-up process which identifies the best securities within a sector or industry that already has been identified as attractive through the top-down analysis. These decisions are combined with defined risk parameters to achieve an optimal portfolio. | Finance |
Private Equity Management Group LLC | |
Investors Management Group, Inc.
Investors Management Group, Inc. Real Estate DevelopmentFinance Operates as a real estate firm that provides asset management, acquisition and multifamily real estate syndication services | Finance |
Southfield Mezzanine Associates LLC
Southfield Mezzanine Associates LLC Investment ManagersFinance Southfield Mezzanine invests in companies located in the United States with an EBITDA of USD 3 million. The firm focuses on a broad range of sectors and industries. It participates in recapitalizations and growth stage capital requirements with an investment size of USD 5 - 20 million. | Finance |
















