Profile
Mr. Seth L.
Cogswell is a Founding Partner & Portfolio Manager at Running Oak Capital LLC.
He has over 20 years of industry experience.
Prior to founding Running Oak, Mr. Cogswell was a trader and portfolio manager of the Trillium Multi Horizon Fund, a multi-strategy long/short hedge fund.
He received his MBA from The Wharton School for which he was a recipient of the Goldman Sachs H.R.
Young Scholarship.
He received his undergraduate degree in Decision Making Sciences/Operations Research from the University of North Carolina.
Seth Lawrence Cogswell active positions
| Companies | Position | Start |
|---|---|---|
Running Oak Capital LLC
Running Oak Capital LLC Investment ManagersFinance ROC primarily employs fundamental and quantitative methods of analysis. The firm manages two investment strategies: (1) Efficient Growth Strategy, a long-only blend of growth and value with a focus on downside volatility management. The strategy consists of high quality, under-valued companies that are growing earnings at a significantly higher rate than the S&P 500. The portfolio generally consists of 50 to 75 roughly equally-weighted mid to large cap securities; and (2) Free World Investment Strategy, a long-only and based upon the same investment philosophy and process as Efficient Growth. It also employs negative screening to create a portfolio with a goal of lower country specific risk. | Chief Executive Officer | 01/07/2012 |
Training of Seth Lawrence Cogswell
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| Private companies | 3 |
|---|---|
University of North Carolina System
University of North Carolina System Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
The Wharton School of the University of Pennsylvania
The Wharton School of the University of Pennsylvania Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Running Oak Capital LLC
Running Oak Capital LLC Investment ManagersFinance ROC primarily employs fundamental and quantitative methods of analysis. The firm manages two investment strategies: (1) Efficient Growth Strategy, a long-only blend of growth and value with a focus on downside volatility management. The strategy consists of high quality, under-valued companies that are growing earnings at a significantly higher rate than the S&P 500. The portfolio generally consists of 50 to 75 roughly equally-weighted mid to large cap securities; and (2) Free World Investment Strategy, a long-only and based upon the same investment philosophy and process as Efficient Growth. It also employs negative screening to create a portfolio with a goal of lower country specific risk. | Finance |
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