Profile
Mr. Matthew Mohlman is a President & Chief Executive Officer at Monument Ventures, Inc. Mr. Mohlman was previously employed as a Compliance Officer by AFA Financial, Inc., a Vice President by Astor Asset Management LLC, and a Principal by Interactive Brokers Group, Inc. He received his undergraduate degree from Xavier University, a graduate degree from American University and a graduate degree from Texas A&M University.
Matthew Mohlman active positions
| Companies | Position | Start |
|---|---|---|
Monument Ventures, Inc.
Monument Ventures, Inc. Financial ConglomeratesFinance Functions as an investment holding company | Chief Executive Officer | - |
Former positions of Matthew Mohlman
| Companies | Position | End |
|---|---|---|
AFA Financial, Inc.
AFA Financial, Inc. Investment ManagersFinance AFA's objective is to be 100% invested in stocks. However, they may have cash balances at times when they cannot find stocks they like at prices they are willing to pay. The firm is a bottom-up manager and invests in large- and mid-cap stocks that are well capitalized, have a history of paying consistent and growing dividends, have p/e ratios comparable to other companies in their industries, produce high cash flow returns on invested capital and show strong potential for continued earnings growth. | Compliance Officer | 01/05/2008 |
| INTERACTIVE BROKERS GROUP, INC. | Corporate Officer/Principal | - |
Astor Asset Management LLC
Astor Asset Management LLC Investment ManagersFinance Astor Asset Management's long/short investment strategy is offered through separately managed accounts that seek positive returns regardless of market direction or conditions. In managing this program, the firm analyzes macro-economic indicators as they relate to the broader equity indexes and positions portfolios according to the long-term economic trend. They use broad market indices as a surrogate for the economy, as well as several actively managed strategies. By analyzing various economic indicators as they relate to equity prices, Astor has created a model that indicates if the market is undervalued or overvalued as it relates to the general economy. When the indicators signal a shift in the broader market trend, the firm attempts to capitalize on the trend by buying or selling equity products that track the S&P 500 and NASDAQ 100. Astor does not intend to engage in frequent trading. They review the economic data on a monthly basis but prefer to hold on to positions until a shift in the fundamentals presents itself and is confirmed. Their management style focuses on the overall markets and the economy rather than individual stocks. It is Astor's belief that a buy-and-hold manager that invests in individual stocks has inherent limitations due to the fact that they must identify and buy undervalued stocks, even if economic conditions do not warrant an appreciating stock market. In addition, Astor believes that the broader market averages present a greater opportunity to more efficiently take advantage of underlying economic conditions. Their approach is designed to allow them to efficiently allocate positions using ETFs that represent the entire market and can be executed in a single trade. | Compliance Officer | - |
Training of Matthew Mohlman
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 | 7 |
|---|---|
AFA Financial, Inc.
AFA Financial, Inc. Investment ManagersFinance AFA's objective is to be 100% invested in stocks. However, they may have cash balances at times when they cannot find stocks they like at prices they are willing to pay. The firm is a bottom-up manager and invests in large- and mid-cap stocks that are well capitalized, have a history of paying consistent and growing dividends, have p/e ratios comparable to other companies in their industries, produce high cash flow returns on invested capital and show strong potential for continued earnings growth. | Finance |
Interactive Brokers Group, Inc.
Interactive Brokers Group, Inc. Investment Banks/BrokersFinance Operates as a holding company whose subsidiaries provide brokerage and investment services | Finance |
Astor Asset Management LLC
Astor Asset Management LLC Investment ManagersFinance Astor Asset Management's long/short investment strategy is offered through separately managed accounts that seek positive returns regardless of market direction or conditions. In managing this program, the firm analyzes macro-economic indicators as they relate to the broader equity indexes and positions portfolios according to the long-term economic trend. They use broad market indices as a surrogate for the economy, as well as several actively managed strategies. By analyzing various economic indicators as they relate to equity prices, Astor has created a model that indicates if the market is undervalued or overvalued as it relates to the general economy. When the indicators signal a shift in the broader market trend, the firm attempts to capitalize on the trend by buying or selling equity products that track the S&P 500 and NASDAQ 100. Astor does not intend to engage in frequent trading. They review the economic data on a monthly basis but prefer to hold on to positions until a shift in the fundamentals presents itself and is confirmed. Their management style focuses on the overall markets and the economy rather than individual stocks. It is Astor's belief that a buy-and-hold manager that invests in individual stocks has inherent limitations due to the fact that they must identify and buy undervalued stocks, even if economic conditions do not warrant an appreciating stock market. In addition, Astor believes that the broader market averages present a greater opportunity to more efficiently take advantage of underlying economic conditions. Their approach is designed to allow them to efficiently allocate positions using ETFs that represent the entire market and can be executed in a single trade. | Finance |
Xavier University
Xavier University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
American University
American University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Texas A&M University
Texas A&M University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Monument Ventures, Inc.
Monument Ventures, Inc. Financial ConglomeratesFinance Functions as an investment holding company | Finance |
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