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Principals
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Ronald L. Eubel
Ron is the Co-Chief Investment Officer, Director of Research and a Principal in the firm. He has more than 27 years of investment experience and is a Senior Securities Analyst responsible for equity and fixed income research. He also supervises the development and analysis of market indicators. Ron is a member of the Investment Policy Committee and a Senior Institutional Portfolio Manager. Ron was a Vice President and directed the Research efforts at Dean Investment Associates from 1982 to 1993. He earned a B.S. in accounting/finance from Miami University, Oxford, Ohio.
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Mark E. Brady
Mark is the Co-Chief Investment Officer, Chief Executive Officer, Director of Portfolio Management, Chief Compliance Officer, and a Principal in the firm with more than 24 years of investment experience. He is a Senior Securities Analyst responsible for equity and fixed income research. He is also a Senior Institutional Portfolio Manager and a member of the Investment Policy Committee. Mark was a Vice President, Senior Analyst and Director of Portfolio Management at Dean Investment Associates from 1985 to 1993. He earned a B.S. in finance from Miami University, Oxford, Ohio.
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Robert J. Suttman II, CFA
Rob is the President and a Principal in the firm with more than 26 years of investment experience. Rob is responsible for client service and marketing. He is also a Senior Institutional Portfolio Manager and a member of the Investment Policy Committee. Rob holds the Chartered Financial Analyst (CFA) designation and is a member of the CFA Institute. Rob was a Vice President and Director of Consulting Services at Dean Investment Associates. He served there from 1983 to 1993. He received a B.B.A. in finance from the University of Notre Dame, South Bend, Indiana.
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William E. Hazel
Bill is a Senior Vice President and a Principal in the firm with more than 15 years of investment experience. He is responsible for marketing and servicing institutional accounts. He is a Senior Institutional Portfolio Manager and a member of the Investment Policy Committee. Bill was a Vice President at James Capital Alliance from 1994 to 1997. He holds a degree in management from Capital University, Columbus, Ohio.
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Paul D. Crichton
Paul is the Director of Trading and a Principal in the firm with more than 21 years of experience in the investment management industry. He is responsible for trading, equity research and is a member of the Investment Policy Committee. Paul received a B.S. in Finance from Wright State University, Dayton, Ohio.
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Kenneth E. Leist
Ken is the Director of Operations and a Principal in the firm with more than 22 years of experience in the investment management industry. He is responsible for trading, equity research and is a member of the Investment Policy Committee. Ken received a B.A. in Economics from Wright State University, Dayton, Ohio.
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Scott E. Lundy
Scott joined the firm in 2003 as a Vice President of Consulting Services and is a Principal in the firm with more than 8 years of industry experience. He is a Relationship Manager responsible for developing and servicing individual and institutional clients on a national level. Scott is a member of the Investment Policy Committee and has research and compliance responsibilities. He earned a B.S. in accounting from Florida Gulf Coast University, Fort Myers, Florida. Scott obtained his Certified Financial Planner™ certification in 2004. Prior to joining EBS, Scott was a Financial Consultant with an investment firm in Florida.
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