Profile
Dr. Andrew Butler is a Chief Investment Officer at ReSolve Asset Management, Inc. He leads the research, development and implementation of ReSolve’s machine learning and portfolio optimization ecosystem.
He has earned a PhD from the University of Toronto, Department of Mechanical & Industrial Engineering; an M.A. in Applied Mathematics, York University; an Honours B.Sc.
in Applied Mathematics & Physics, Memorial University, and is a CFA Charterholder.
Andrew Butler active positions
| Companies | Position | Start |
|---|---|---|
ReSolve Asset Management, Inc.
ReSolve Asset Management, Inc. Investment ManagersFinance ReSolve is a systematic investment firm that provides cutting-edge, globally diversified and systematic investment strategies that are non-correlated to traditional portfolios. Their primary investment methodology is focused on an active approach to asset allocation. The firm invests in ETFs and exchange-traded futures contracts to gain market exposure across major global asset classes with the expectation of delivering positive long-term returns with low structural volatility, while maintaining a hedge against extreme market moves. | Chief Investment Officer | 01/01/2023 |
Training of Andrew Butler
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| Private companies | 3 |
|---|---|
York University
York University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Memorial University of Newfoundland
Memorial University of Newfoundland Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
ReSolve Asset Management, Inc.
ReSolve Asset Management, Inc. Investment ManagersFinance ReSolve is a systematic investment firm that provides cutting-edge, globally diversified and systematic investment strategies that are non-correlated to traditional portfolios. Their primary investment methodology is focused on an active approach to asset allocation. The firm invests in ETFs and exchange-traded futures contracts to gain market exposure across major global asset classes with the expectation of delivering positive long-term returns with low structural volatility, while maintaining a hedge against extreme market moves. | Finance |
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