In the investment industry since:
Greg Dean, Principal and Portfolio Manager, started in the investment management industry in 2008. Mr. Dean joined Cambridge Global Asset Management as a research analyst in May 2011. Mr. Dean’s primary responsibility is on the analysis of global securities in the Energy, Technology, Consumer Staples and Utilities sectors. Prior to joining Cambridge, Mr. Dean was a research analyst at Fidelity Investments, responsible for the Utilities and Consumer Staples sectors and managed those sectors within the Fidelity Canadian Disciplined Equity Fund from 2008-2011, approximately $150 million. Mr. Dean also co-managed The Wilfrid Laurier Student Investment Fund in 2007 and 2008 as well as having spent a four month work term with an Energy-focused Hedge Fund, based in Toronto. Mr. Dean holds a Bachelor of Mathematics from the University of Waterloo, a B.B.A. from Wilfrid Laurier University and the CFA designation.