Profile
Mr. Stephan Aronitz, CFA, is a Portfolio Manager at Hemisphere Capital Management, Inc. He is also a Partner at the firm and focused on investment research and delivering highly personalized service to Hemisphere’s clients.
He is a member of the investment committee and manages Hemisphere’s performance reporting in accordance with the Global Investment Performance Standards.
Prior to joining Hemisphere, Mr. Aronitz spent several years working with an international engineering firm en route to becoming a Professional Engineer (P.
Eng).
During this time, he worked on several domestic and international engineering projects focused on both the metals and mining industry and large-scale transportation and infrastructure.
Mr. Aronitz graduated with a BSc (Mechanical Engineering) from Queen’s University.
He transitioned into the financial industry by obtaining the Chartered Financial Analyst (CFA) designation.
He is a current member of the CFA Institute and the CFA Society Calgary.
Stephan Aronitz active positions
| Companies | Position | Start |
|---|---|---|
Hemisphere Capital Management, Inc.
Hemisphere Capital Management, Inc. Investment ManagersFinance Hemisphere is a value-based investor that aims for consistent, positive returns for their clients with below-average risk and volatility through balanced, diversified portfolios. The firm is focused on steady, long-term returns through proven asset classes. They use individual publicly traded securities, including bonds, preferred shares, and common stock. Their buy and sell discipline consider the following criteria: the company's business franchise, financial soundness, management team, cash flows, earnings multiple, earnings dynamics, book value, insider ownership, hidden assets and catalysts for recognition. | Analyst-Equity | 01/02/2021 |
Training of Stephan Aronitz
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| Private companies | 2 |
|---|---|
Hemisphere Capital Management, Inc.
Hemisphere Capital Management, Inc. Investment ManagersFinance Hemisphere is a value-based investor that aims for consistent, positive returns for their clients with below-average risk and volatility through balanced, diversified portfolios. The firm is focused on steady, long-term returns through proven asset classes. They use individual publicly traded securities, including bonds, preferred shares, and common stock. Their buy and sell discipline consider the following criteria: the company's business franchise, financial soundness, management team, cash flows, earnings multiple, earnings dynamics, book value, insider ownership, hidden assets and catalysts for recognition. | Finance |
Queen's University
Queen's University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
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