Profile
Mr. Eric J.
Maskalunas is Vice President-Sales at Baring Asset Management LLC.
Prior to joining Baring Asset Management, Mr. Maskalunas was a Senior Vice President at Dana Investment Advisors, as Vice President of sales for its North American Institutional operation.
Former positions of Eric J. Maskalunas
| Companies | Position | End |
|---|---|---|
Dana Investment Advisors, Inc.
Dana Investment Advisors, Inc. Investment ManagersFinance Dana seeks repeatable and predictable results to most effectively grow wealth by implementing a uniform investment process to achieve consistent excess returns with lower risk. The firm actively manages a broad range of public US Equity, Fixed Income and blended strategies ranging from large to small-cap equity, socially responsible, taxable and tax-exempt fixed income strategies. The foundations of their investment process and risk-controlled portfolio construction are similar across asset classes and strategies. Their primary equity investment strategies are based on a relative value approach designed around a roughly equally weighted portfolio of securities exhibiting above average earnings growth at lower relative prices. Dana’s fixed income strategies place considerable importance on income securities that exhibit high credit quality, high current income, and sufficient overall cash flow. | Portfolio Manager-Fixed Income | 01/01/2007 |
LaSalle National Bank
LaSalle National Bank Investment ManagersFinance LaSalle's investment management philosophy is based on controlling risk and volatility while producing long-term wealth accumulation. Their principal goal is to meet investment objectives through a systematic and disciplined approach to the purchase and sale of securities. Their portfolio managers focus on companies with superior earnings growth, stability, with above-average ROE and evidence of sustainable margins. They fuse computer models with quantitative analysis to distill the universe of securities to a list of optimal investments. After a list has been developed, each company is scrutinized to ensure financial strength and the ability to support future growth. | Corporate Officer/Principal | - |
Experiences
Positions held
Active
Inactive
Listed companies
Private companies
Connections
1st degree connections
1st degree companies
Male
Female
Members of the board
Executives
Linked companies
| Private companies | 2 |
|---|---|
LaSalle National Bank
LaSalle National Bank Investment ManagersFinance LaSalle's investment management philosophy is based on controlling risk and volatility while producing long-term wealth accumulation. Their principal goal is to meet investment objectives through a systematic and disciplined approach to the purchase and sale of securities. Their portfolio managers focus on companies with superior earnings growth, stability, with above-average ROE and evidence of sustainable margins. They fuse computer models with quantitative analysis to distill the universe of securities to a list of optimal investments. After a list has been developed, each company is scrutinized to ensure financial strength and the ability to support future growth. | Finance |
Dana Investment Advisors, Inc.
Dana Investment Advisors, Inc. Investment ManagersFinance Dana seeks repeatable and predictable results to most effectively grow wealth by implementing a uniform investment process to achieve consistent excess returns with lower risk. The firm actively manages a broad range of public US Equity, Fixed Income and blended strategies ranging from large to small-cap equity, socially responsible, taxable and tax-exempt fixed income strategies. The foundations of their investment process and risk-controlled portfolio construction are similar across asset classes and strategies. Their primary equity investment strategies are based on a relative value approach designed around a roughly equally weighted portfolio of securities exhibiting above average earnings growth at lower relative prices. Dana’s fixed income strategies place considerable importance on income securities that exhibit high credit quality, high current income, and sufficient overall cash flow. | Finance |
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