Dan Fuss has over 60 years of investment industry experience and has been with Loomis Sayles since 1976. He is Vice Chairman of the firm’s Board of Directors and is Co-Portfolio Manager for IA Clarington Loomis Global Allocation Fund.
Dan earned a BS and an MBA from Marquette University. He has twice been president of CFA Society Boston and served in the U.S. Navy from 1955 to 1958, holding the rank of Lieutenant.
Daniel uses a bottom-up asset allocation process to invest across multiple asset classes, sectors, regions, countries and currencies. His goal is to build a concentrated, high-conviction portfolio that generates strong total returns over the long-term while managing exposure to potential downside risk.
Global equity opportunities for long-term investorsGlobal equity opportunities for long-term investors
Portfolio manager Lee Rosenbaum is looking for businesses with three main features: quality, intrinsic value growth and attractive valuations...Read summary Lire le sommaire
Opportunity and risk in the North American equity and high-yield marketsOpportunity and risk in the North American equity and high-yield markets
While a repeat of last year’s performance isn’t the most likely outcome, the North American equity and high-yield bond markets appear...Read summary Lire le sommaire
In this video, portfolio manager Clément Gignac explains...Read summary Lire le sommaire
In this video, portfolio manager Donny Moss...Read summary Lire le sommaire