Profile
Mr. Michael J.
Sais, CFA MBA, is a Portfolio Manager at JPMorgan Investment Management, Inc. He is a Managing Director and a member of the Global Fixed Income, Currency & Commodities group.
Based in Columbus, he is a Senior Portfolio Manager and is responsible for managing investments consistent with the unique requirements of insurance industry clients.
Additionally, he manages U.S.
Value Driven strategies and several mutual funds.
He was previously as a Senior Fixed Income Research Analyst responsible for the valuation and analysis of the mortgage-backed securities market.
He has over 37 years of industry experience.
Prior to joining the firm, Mr. Sais served as Senior Investment Portfolio Manager of Valley National Bank of Phoenix, where he was responsible for the management of the bank’s $2.2 billion investment portfolio.
He began his career with Citibank in San Juan, Puerto Rico, as an Asset/Liability Manager and Eurodollar Trader.
He holds a B.S.
and an M.B.A., both in Finance, from Indiana University and is a CFA charter holder.
Michael John Sais active positions
| Companies | Position | Start |
|---|---|---|
JPMorgan Investment Management, Inc.
JPMorgan Investment Management, Inc. Investment ManagersFinance JPMIM seeks to generate positive excess return through both a bottom-up approach emphasizing security selection and a top-down approach focusing on macro investment themes and trends to aid in determining sector weightings, currency, and yield curve weighting where appropriate. The firm offers a broad range of US, non-US and global investment management products and provides different strategies that span the full spectrum of asset classes including equity, fixed-income, cash liquidity, currency, real estate, hedge funds and private equity. | Portfolio Manager-Fixed Income | - |
Former positions of Michael John Sais
| Companies | Position | End |
|---|---|---|
JPMorgan Investment Advisors, Inc.
JPMorgan Investment Advisors, Inc. Investment ManagersFinance Provides investment acvice | Portfolio Manager-Fixed Income | 31/12/2009 |
Banc One Investment Advisors
Banc One Investment Advisors Major BanksFinance A team of portfolio managers, research analysts and traders is responsible for the management of each equity portfolio. They employ a bottom-up approach, using proprietary research to analyze and evaluate securities on a stock-by-stock basis. The research process begins with a diverse universe of companies. For each company in the universe, analysts develop earnings and revenue estimates. The analysts use those forecasts to calculate 13 value, growth and risk variables, which are used to rank each stock. Using the forecast and ranking information, the analysts then code the stocks on a 5-point scale - from 1, which is the most attractive to 5, which is the least attractive. The equity teams review the recommendations and create an overall assessment of the stock. The teams select stocks for the portfolios that are attractively priced with improving fundamentals. In choosing fixed income securities, BOIA seeks to avoid market timing and interest rate speculation in favor of strategies providing more consistent value over time. The teams construct the portfolios by using a process that combines specific security selection with macro bond market factors. The firm's fixed income teams actively manage all aspects of the fixed income market using risk-management techniques to minimize volatility and add value through yield curve, sector, issue and duration decisions. | Portfolio Manager-Fixed Income | 18/02/2005 |
PriMerit Bank
PriMerit Bank Savings BanksFinance Federally chartered savings bank | Corporate Officer/Principal | - |
Citigroup Asset Management
Citigroup Asset Management Investment ManagersFinance Provides investment advice | Trading-Equity | - |
Training of Michael John Sais
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 | 6 |
|---|---|
JPMorgan Investment Management, Inc.
JPMorgan Investment Management, Inc. Investment ManagersFinance JPMIM seeks to generate positive excess return through both a bottom-up approach emphasizing security selection and a top-down approach focusing on macro investment themes and trends to aid in determining sector weightings, currency, and yield curve weighting where appropriate. The firm offers a broad range of US, non-US and global investment management products and provides different strategies that span the full spectrum of asset classes including equity, fixed-income, cash liquidity, currency, real estate, hedge funds and private equity. | Finance |
Citigroup Asset Management
Citigroup Asset Management Investment ManagersFinance Provides investment advice | Finance |
Banc One Investment Advisors
Banc One Investment Advisors Major BanksFinance A team of portfolio managers, research analysts and traders is responsible for the management of each equity portfolio. They employ a bottom-up approach, using proprietary research to analyze and evaluate securities on a stock-by-stock basis. The research process begins with a diverse universe of companies. For each company in the universe, analysts develop earnings and revenue estimates. The analysts use those forecasts to calculate 13 value, growth and risk variables, which are used to rank each stock. Using the forecast and ranking information, the analysts then code the stocks on a 5-point scale - from 1, which is the most attractive to 5, which is the least attractive. The equity teams review the recommendations and create an overall assessment of the stock. The teams select stocks for the portfolios that are attractively priced with improving fundamentals. In choosing fixed income securities, BOIA seeks to avoid market timing and interest rate speculation in favor of strategies providing more consistent value over time. The teams construct the portfolios by using a process that combines specific security selection with macro bond market factors. The firm's fixed income teams actively manage all aspects of the fixed income market using risk-management techniques to minimize volatility and add value through yield curve, sector, issue and duration decisions. | Finance |
PriMerit Bank
PriMerit Bank Savings BanksFinance Federally chartered savings bank | Finance |
Indiana University
Indiana University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
JPMorgan Investment Advisors, Inc.
JPMorgan Investment Advisors, Inc. Investment ManagersFinance Provides investment acvice | Finance |
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