Profile
Mr. Jeffrey Gould is a Managing Director at Citigroup Alternative Investments LLC.
Prior to joining Citigroup Alternative Investments on October 22, 2007, Mr. Gould was a president at Renaissance Technologies in West Setauker, NY.
At Renaissance, he headed up institutional sales.
Prior to joining Renaissance in 2004, he was with Putnam Investments for 17 years in several positions.
Earlier in his career, he was vice president of institutional sales for Citicorp Investment Management Group & Value Line Asset Management.
Former positions of Jeff L. Gould
| Companies | Position | End |
|---|---|---|
Value Line Asset Management
Value Line Asset Management Investment ManagersFinance Value Line Asset Management bases its investment management strategy on the belief that relative stock values can be objectively quantified and that such evaluation leads to more efficient, effective investing than other stock-selection methods. The primary tool for making investment decisions is the Value Line Timeliness Ranking System, which assesses the year-ahead performance prospects for a universe of the most widely traded equities | Corporate Officer/Principal | - |
Renaissance Technologies LLC
Renaissance Technologies LLC Investment ManagersFinance Renaissance uses quantitative analysis, specifically mathematical and statistical methods, to uncover technical indicators that drive its automated trading systems. This analysis is used to construct proprietary computer models that use publicly available financial data to identify and implement trading decisions. The firm uses these computational trading models to seek appreciation of assets through speculative trading in securities-related and futures-related financial instruments. | President | - |
Chancellor Capital Management, Inc.
Chancellor Capital Management, Inc. Investment ManagersFinance Investment advisors | Corporate Officer/Principal | - |
Citigroup Alternative Investments LLC
Citigroup Alternative Investments LLC Investment ManagersFinance CAI’s investment team generally employs fundamental research, specific industry knowledge, proprietary relationships, and partnerships with management teams to identify attractive investment opportunities, often targeting industries that are undergoing change or are otherwise out-of-favor for their Private Equity Investment Fund. For their real estate funds, the firm selects underlying funds based on their performance track record, organizational ability to execute the investment strategy, and financial capacity to meet obligations, among other factors. | Sales & Marketing | - |
Experiences
Positions held
Active
Inactive
Listed companies
Private companies
Linked companies
| Private companies | 4 |
|---|---|
Chancellor Capital Management, Inc.
Chancellor Capital Management, Inc. Investment ManagersFinance Investment advisors | Finance |
Renaissance Technologies LLC
Renaissance Technologies LLC Investment ManagersFinance Renaissance uses quantitative analysis, specifically mathematical and statistical methods, to uncover technical indicators that drive its automated trading systems. This analysis is used to construct proprietary computer models that use publicly available financial data to identify and implement trading decisions. The firm uses these computational trading models to seek appreciation of assets through speculative trading in securities-related and futures-related financial instruments. | Finance |
Citigroup Alternative Investments LLC
Citigroup Alternative Investments LLC Investment ManagersFinance CAI’s investment team generally employs fundamental research, specific industry knowledge, proprietary relationships, and partnerships with management teams to identify attractive investment opportunities, often targeting industries that are undergoing change or are otherwise out-of-favor for their Private Equity Investment Fund. For their real estate funds, the firm selects underlying funds based on their performance track record, organizational ability to execute the investment strategy, and financial capacity to meet obligations, among other factors. | Finance |
Value Line Asset Management
Value Line Asset Management Investment ManagersFinance Value Line Asset Management bases its investment management strategy on the belief that relative stock values can be objectively quantified and that such evaluation leads to more efficient, effective investing than other stock-selection methods. The primary tool for making investment decisions is the Value Line Timeliness Ranking System, which assesses the year-ahead performance prospects for a universe of the most widely traded equities | Finance |
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