Profile
Mr. John C.
Bogle is a Chief Executive Officer & Chief Investment Officer at Bogle Investment Management LP.
Mr. Bogle worked from August, 1990 to February, 1999 as a Director of Portfolio Strategies at Numeric Investors L.
P., from July, 1983 to August, 1990 as a Vice President and Portfolio Manager and a Credit Analyst & Assistant Vice President at State Street Bank & Trust Co.
He received his B.S.
Economics degree and an M.B.A. in Finance from Vanderbilt University.
John Clifton Bogle active positions
| Companies | Position | Start |
|---|---|---|
Bogle Investment Management LP
Bogle Investment Management LP Investment ManagersFinance Bogle Investment Management manages absolute return and small-cap long-only investment strategies. They seek to earn attractive risk-adjusted returns in most market environments. Their absolute return strategies aim to deliver attractive risk-adjusted returns that are uncorrelated with both traditional and alternative investments. The firm’s US small-cap strategy seeks to outperform the Russell 2000 Index of small-cap stocks. Through proprietary research, Bogle Investment Management identifies investor behaviors that cause stock prices to decouple from business fundamentals. | Chief Executive Officer | 01/01/1999 |
Former positions of John Clifton Bogle
| Companies | Position | End |
|---|---|---|
Numeric Investors LLC
Numeric Investors LLC Investment ManagersFinance Numeric Investors offers a variety of actively managed quantitative investment strategies including long-only, market neutral, active extension (130/30) equity and fundamental statistical arbitrage. Their strategies cover a variety of geographic regions, investment styles and market-cap ranges. All portfolios at Numeric are managed under the direction of their Chief Investment Officer, with oversight from the firm’s Investment Committee. Their investment approach is based on the idea that in the aggregate, markets are efficient and real economic performance drives returns, but over certain time periods markets are inefficient. This results in stock prices that fluctuate more than the underlying information set. | Portfolio Manager-Equities | 01/01/1999 |
State Street Research & Management Co.
State Street Research & Management Co. Investment Banks/BrokersFinance SSR combines bottom-up stock selection with quantitative risk controls. The Asset Allocation committee formulates the asset allocation strategy based upon the relative attractiveness, variability and correlation between the equity and fixed income markets. The committee reviews a wide range of factors that include forecasts of corporate earnings, liquidity and an assessment of macroeconomic trends. The committee formally reviews allocation targets on a monthly basis. For active equity management they combine bottom-up stock selection based on comprehensive fundamental research with explicit sector weighting decisions and quantitative risk management. Teams manage portfolios. SSR believes that fixed income security prices respond to economic fundamentals in predictable but not perfectly efficient ways. They seek to identify opportunities created by these inefficiencies through fundamental research supported by quantitative risk controls. | Portfolio Manager-Equities | 31/07/1990 |
Training of John Clifton Bogle
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 | 4 |
|---|---|
State Street Research & Management Co.
State Street Research & Management Co. Investment Banks/BrokersFinance SSR combines bottom-up stock selection with quantitative risk controls. The Asset Allocation committee formulates the asset allocation strategy based upon the relative attractiveness, variability and correlation between the equity and fixed income markets. The committee reviews a wide range of factors that include forecasts of corporate earnings, liquidity and an assessment of macroeconomic trends. The committee formally reviews allocation targets on a monthly basis. For active equity management they combine bottom-up stock selection based on comprehensive fundamental research with explicit sector weighting decisions and quantitative risk management. Teams manage portfolios. SSR believes that fixed income security prices respond to economic fundamentals in predictable but not perfectly efficient ways. They seek to identify opportunities created by these inefficiencies through fundamental research supported by quantitative risk controls. | Finance |
Numeric Investors LLC
Numeric Investors LLC Investment ManagersFinance Numeric Investors offers a variety of actively managed quantitative investment strategies including long-only, market neutral, active extension (130/30) equity and fundamental statistical arbitrage. Their strategies cover a variety of geographic regions, investment styles and market-cap ranges. All portfolios at Numeric are managed under the direction of their Chief Investment Officer, with oversight from the firm’s Investment Committee. Their investment approach is based on the idea that in the aggregate, markets are efficient and real economic performance drives returns, but over certain time periods markets are inefficient. This results in stock prices that fluctuate more than the underlying information set. | Finance |
Bogle Investment Management LP
Bogle Investment Management LP Investment ManagersFinance Bogle Investment Management manages absolute return and small-cap long-only investment strategies. They seek to earn attractive risk-adjusted returns in most market environments. Their absolute return strategies aim to deliver attractive risk-adjusted returns that are uncorrelated with both traditional and alternative investments. The firm’s US small-cap strategy seeks to outperform the Russell 2000 Index of small-cap stocks. Through proprietary research, Bogle Investment Management identifies investor behaviors that cause stock prices to decouple from business fundamentals. | Finance |
Vanderbilt University
Vanderbilt University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
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