Michael Julian Solecki

Senior Managing Director, CIO & Portfolio Manager at SSgA Funds Management, Inc.

Michael Julian Solecki

Michael Julian Solecki

Senior Managing Director, CIO & Portfolio Manager at SSgA Funds Management, Inc.

Overview
RelSci Relationships

1593

Number of Awards

1

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Executive Vice President, State Street Global Advisors at State Street Corporation

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Senior Managing Director, CIO & Portfolio Manager at SSgA Funds Management, Inc.

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Global Head of Standard & Poor's Depositary Receipts Exchange Traded Funds Business, State Street Global Advisors at State Street Corporation

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Executive Vice President, State Street Global Advisors at State Street Corporation

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Managing Director & Senior Portfolio Manager at SSgA Funds Management, Inc.

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Global Chief Investment Officer at State Street Corporation

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Research Director at SSgA Funds Management, Inc.

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Chief Financial Officer at State Street Global Advisors, Inc.

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Senior Vice President, Chief Risk Officer at SSgA Funds Management, Inc.

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Chief Risk Officer at SSgA Funds Management, Inc.

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Michael Julian Solecki
Senior Managing Director, CIO & Portfolio Manager at SSgA Funds Management, Inc.
Education
Bachelor of Science in Finance

THE UNIVERSITY IS A PRIVATE EDUCATIONAL INSTITUTION WHICH AWARDS UNDERGRADUATE, MASTER, AND DOCTORAL DEGREES IN ARTS AND SCIENCES, BUSINESS, ENGINEERING, PHARMACY AND LAW.

MBA

The mission of the Gabelli School of Business is to inspire and empower positive global change, developing students into compassionate business leaders and supporting faculty and students in the ongoing generation of new knowledge.

Memberships
Member
Current

The New York Society of Security Analysts (NYSSA), was founded by a group of professionals that included Benjamin Graham, the “father of securities analysis” and one of the most influential men in the history of finance. Through generations of investment professionals NYSSA remains steady as a leading forum for the investment community since 1937. NYSSA is committed to the promotion of best practices and the highest professional and ethical standards in the investment industry.

Career History
Senior Managing Director, CIO & Portfolio Manager
2016 - Current

SSgA FM's methods of analysis include quantitative, fundamental, technical, cyclical, indexing, arbitrage, charting and other strategy specific methods. They offer a broad range of strategies including: Active, Enhanced, and Passive Equity; Active & Passive Debt; Cash Management; Multi-Asset Class Solutions; Real Estate (including Direct Real Estate); Senior Loans; Managed Futures; and Private Equity. Active equity strategies include enhanced equity and active quantitative strategies. The strategies cover market-cap and style segments of the market including: large-cap core, large-cap growth, large-cap value, mid-cap, small-cap, small-cap value, all-cap, and long-short equity. They also manage long-short and long-short market neutral strategies. SSgA FM's Active & Passive Debt strategies offers a range of investment styles from passive to active, short to long duration, tax-exempt, sovereign to high yield, and single country to global. The firm's Cash Management strategies seek to generate current income while preserving capital and liquidity by investing in diversified portfolios of short-term securities. SSgA FM's Multi-Asset Class strategies employ an asset allocation model as means of diversification and seek to position assets among major investment categories. Their Multi Asset Class Solutions strategies employ an asset allocation model as a method of diversification that aims to position assets among major investment categories. SSgA FM's Managed Futures strategy allocates assets using two approaches: a managed futures strategy and a fixed income strategy. The firm's Private Equity strategies focus on rigorous partner selection, thorough evaluation of quality investment opportunities, and fundamental, research-driven research.

Head, European Equity Research
1992 - 1995

GE Asset Management Ltd. (GEAML) is the wholly-owned Great Britain-based asset management subsidiary of GE Asset Management Inc., ultimately held by State Street Corp (NYSE: STT) in the US.Established in 1995, the firm is located in London and provides asset management and financial advisory services to corporations, institutions including pension funds, as well as insurance and re-insurance companies. Their clientele is primarily European.

Director of Portfolio Management, International Equity
1991 - 2016

GE Asset Management's (GEAM) core investment strategies include US equities, international equities, fixed-income, real estate and private equity. The firm follows a disciplined, fundamental, bottom-up approach to investing in US equities. Their US equity investment approach involves rigorous analyses of financial data, including industry, sector and company information, as well as qualitative assessments of management and their ability to execute business plans. Generally, GEAM invests in companies that are industry leaders with high quality earnings and a history of creating shareholder value.GEAM's international equities approach includes a variety of strategies such as International Equity, Global Equity and Emerging Markets Equity, as well as regional and country specific mandates for Canada, Europe, Euroland, China and India. All strategies are driven by a bottom-up, fundamental research process.GEAM's fixed-income team manages a variety of investment styles and strategies that span the yield curve and credit quality universe. The firm manages a variety of products designed to meet various customer risk/return parameters. GEAM's fixed-income team follows a relative value approach, emphasizing a fundamental, bottom-up process with the objective of enhancing returns while limiting volatility.The firm's International Private Equity team invests in companies domiciled and doing a substantial portion of their business outside of the US. They focus primarily on corporate buyouts and growth-equity investments, but they also selectively consider later-stage venture capital investments. GEAM considers investment opportunities across a broad range of industrial sectors and geographic areas and pursues potential investment opportunities in both developed and emerging markets.

Awards & Honors
CFA (Chartered Financial Analyst)
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