Thomas Robert Robinson

President at Oppenheimer Alternative Investment (Private Equity)

Thomas Robert Robinson

Thomas Robert Robinson

President at Oppenheimer Alternative Investment (Private Equity)

Overview
Career Highlights

Oppenheimer Alternative Investment (Private Equity)
Advantage Advisers Private Equity Management LLC
Oppenheimer Alternative Investment Management LLC

RelSci Relationships

116

Relationships
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President & Director at Oppenheimer Asset Management, Inc.

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Chief Legal Officer at Oppenheimer Asset Management, Inc.

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Executive Vice President & Chief Financial Officer at Oppenheimer & Co., Inc.

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Chief Compliance Officer at Advantage Advisers Xanthus Fund LLC

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Chief Marketing Officer at Poplar Forest Capital LLC

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Chief Compliance Officer at Oppenheimer Alternative Investment Management LLC

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Managing Director, Chief Compliance Officer at Oppenheimer & Co., Inc.

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Director, President & Chief Executive Officer at Jericho Energy Ventures, Inc.

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Managing Director & Portfolio Manager at Oppenheimer Investment Management LLC

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Managing Director & Portfolio Manager at Oppenheimer Investment Management LLC

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Thomas Robert Robinson
President at Oppenheimer Alternative Investment (Private Equity)
Career History
President
2003 - Current

Oppenheimer Alternative Investment's private equity activities encompass a variety of strategies including direct investments in companies and indirect investments in funds and funds-of-funds, both primary and secondary. The firm seeks to provide diversification, the potential for superior returns and investment results that are uncorrelated to other traditional investment products. Oppenheimer focuses on: venture capital, growth capital, LBOs, mezzanine capital and real estate.

President
2003 - Prior

Oppenheimer Investment Management (OIM) is an active investor that focuses on developing consistent, alpha-generating investment ideas for the institutional portfolios they manage. The firm's investment approach is based on the belief that the investment markets are exposed to inefficiencies over time. They seek to capitalize on these inefficiencies through a rigorous, consistent security selection process. OIM's investment strategies include: core fixed-income, core plus fixed-income, intermediate fixed-income and high yield fixed-income.The OIM Core Fixed-Income strategy is based on the idea that individual security selection produces the best opportunity for risk-adjusted excess returns over time. OIM employs an extensive, bottom-up research process, that focuses on optimal bond selection of investment grade corporate bonds, MBS, US Government Treasuries and taxable municipal bonds. The firm employs a tightly-controlled duration discipline and closely manages all portfolio risk factors. Their objective is to produce predictable, consistent excess returns net-of-fees over the Barclays Capital Aggregate Bond Index.The OIM Core Plus Fixed-Income strategy is based on the idea that individual security selection produces the best opportunity for risk-adjusted excess returns over time. OIM's extensive, bottom-up research process focuses on optimal bond selection of investment grade corporate bonds, MBS, US Government Treasuries and taxable municipal bonds. They employ a tightly-controlled duration discipline and closely manage all portfolio risk factors. OIM's objective is to produce predictable, consistent excess returns net-of-fees over the Barclays Capital Aggregate Bond Index.The OIM Intermediate Fixed Income strategy is based on the idea that individual security selection produces the best opportunity for risk-adjusted excess returns over time. OIM's extensive, bottom-up research process focuses on optimal bond selection of investment grade corporate bonds, MBS, US Government Treasuries and taxable municipal bonds. They employ a tightly-controlled duration discipline and closely manage all portfolio risk factors. OIM's objective is to produce predictable, consistent excess returns net-of-fees over the Barclays Capital Government/Credit-Intermediate Bond Index.The OIM High Yield Fixed Income strategy is based on the idea that individual security selection produces the best opportunity for risk-adjusted excess returns over time. The firm employs an extensive, bottom-up research process that focuses on optimal bond selection of corporate bonds, preferred securities, bank loans, convertible securities and taxable municipal bonds. OIM's emphasis is on relative value, and they closely manage all portfolio risk factors. Their objective is to produce predictable, consistent excess returns net-of-fees over the Merrill Lynch High Yield Master II Index.

President
2004 - 2005

AAM is a value manager that uses a bottom-up approach that begins with quantitative computer screens. Stocks that pass initial screening undergo further analysis for earnings growth potential, reasonable p/e to growth ratios and significant cash flows. The firm also conducts qualitative analysis.

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