Profile
Mr. Barry M.
Goggins, CFA MBA, is an Equity Research Analyst at Marble Harbor Investment Counsel LLC.
He joined the firm in September 2013 with over 30 years of experience analyzing equity investments across the market capitalization spectrum.
Previously Mr. Barry was a Managing Director at Babson Capital Management and he also worked at AlphaOne Capital Partners.
He worked as an equity analyst at Massachusetts Mutual Life Insurance Company/Concert Capital Management after starting his career at Commercial Union Investment Management Corporation in 1979.
He graduated from the University of Notre Dame with a B.S.
in Mathematics and earned his M.B.A. from the Carroll Graduate School of Management at Boston College.
He holds the Chartered Financial Analyst designation
Barry M. Goggins active positions
| Companies | Position | Start |
|---|---|---|
Marble Harbor Investment Counsel LLC
Marble Harbor Investment Counsel LLC Investment ManagersFinance Marble Harbor is a long-term investor and manages core portfolios of equities and fixed-income. The firm tailors each portfolio to meet the client's unique needs, objectives, and risk tolerance. They invest in businesses rather than speculate in stocks. Marble Harbor aims to identify companies that they believe have superior long-term growth potential and purchase them at reasonable valuations. | Analyst-Equity | 2013-08-31 |
Former positions of Barry M. Goggins
| Companies | Position | End |
|---|---|---|
AlphaOne Investment Services LLC
AlphaOne Investment Services LLC Investment ManagersFinance AlphaOne Investment Services' (AOIS) investment strategy for the AlphaOne Micro Cap Equity Fund is to build a portfolio with a risk profile less than that of the Russell 2000 Index that is comprised of both “value” and “growth” stocks through investing in equity securities of micro-cap companies. The AlphaOne Satori Master Fund Ltd. pursues a long/short investment strategy that focuses on investing in securities (including debt, derivatives and equity) of companies across a broad range of industries. The fund invests in securities listed in the US, as well as those which trade on internationally recognized exchanges or over-the-counter markets overseas. The funds generally place emphasis on investments in the following sectors: consumer, emerging/green technology, energy, financial, industrial, media, REITs, retailing, services, technology, telecommunications and transportation. The AlphaOne Global Innovations Master Fund Ltd. pursues a long/short investment strategy that primarily invests in the securities (including derivatives and equity) of companies in the technology, technology-related, media, alternative energy, and telecommunication industries. This includes companies listed in the US, as well as those which trade on internationally recognized exchanges or over-the-counter markets overseas. AOIS acts as the investment advisor and provides discretionary advisory services to corporations, institutions, pension plans, and charitable organizations through managed accounts. Some accounts are individually tailored and some are managed through AOIS' model investment strategies. The firm offers Small-Cap Growth, Small-Cap Core, Micro-Cap Core, Long/Short Technology and Long/Short model investment strategies for managed accounts. | Analyst-Equity | 2013-06-30 |
OFI Global Institutional, Inc.
OFI Global Institutional, Inc. Investment ManagersFinance OFI Institutional Asset Management (OFI) focuses on delivering long-term results through active management and seeing opportunities where others may not. The firm employs a variety of investment analyses including economic, fundamental, technical, quantitative and top-down. OFI's equity investment strategies include: Large-Cap Core, Small & Mid Cap Growth Equity, Value & Income Equity, Emerging Markets Equity, and Global Equity. Their fixed income strategies include: Investment Grade Debt, Global Debt, Rochester Municipals, Multi-Sector Fixed Income, and Cash Strategies. OFI also offers Alternative and Global Multi-Asset investment strategies. | Analyst-Equity | 2009-08-30 |
Barings LLC
Barings LLC Investment ManagersFinance Barings? investment decisions across all asset classes incorporate a comprehensive analysis that uses or combines top-down and/or bottom-up approaches to investment analysis. The firm utilizes economic, fundamental, technical/cyclical, and quantitative analyses, along with a sound understanding of both macro drivers and micro considerations in its investment decision-making process and to manage risk. They invest in a variety of fixed income and financing instruments across various industries as well as credit qualities and maturities in North America, Europe, Latin America, Africa/Middle East, and the Asia-Pacific region. Barings manages portfolios of public equity securities and equity-related securities of issuers of all sizes. The firm has teams focused on three alternative investment sectors: Real Estate, Private Equity & Real Assets, and Funds & Co-Investments. | Analyst-Equity | 2006-01-30 |
Concert Capital Partners
Concert Capital Partners Investment ManagersFinance Concert Capital Partners invests in proven growth companies in the consumer, business services, financial services and healthcare services sectors. The firm seeks companies that have rapid historical and projected growth (at least 15% to 20% annually), non-cyclical, recurring revenue and consistent profitability. They look for companies with annual revenues of $10 million to $100 million and operating cash flow of $3 million to $15 million. Concert Capital Partners typically invests $10 million to $40 million in equity capital per transaction, in companies valued at $15 million to $150 million | Corporate Officer/Principal | - |
Training of Barry M. Goggins
Experiences
Positions held
Active
Inactive
Listed companies
Private companies
Connections
1st degree connections
1st degree companies
Male
Female
Members of the board
Executives
Linked companies
| Private companies | 7 |
|---|---|
Barings LLC
Barings LLC Investment ManagersFinance Barings? investment decisions across all asset classes incorporate a comprehensive analysis that uses or combines top-down and/or bottom-up approaches to investment analysis. The firm utilizes economic, fundamental, technical/cyclical, and quantitative analyses, along with a sound understanding of both macro drivers and micro considerations in its investment decision-making process and to manage risk. They invest in a variety of fixed income and financing instruments across various industries as well as credit qualities and maturities in North America, Europe, Latin America, Africa/Middle East, and the Asia-Pacific region. Barings manages portfolios of public equity securities and equity-related securities of issuers of all sizes. The firm has teams focused on three alternative investment sectors: Real Estate, Private Equity & Real Assets, and Funds & Co-Investments. | Finance |
OFI Global Institutional, Inc.
OFI Global Institutional, Inc. Investment ManagersFinance OFI Institutional Asset Management (OFI) focuses on delivering long-term results through active management and seeing opportunities where others may not. The firm employs a variety of investment analyses including economic, fundamental, technical, quantitative and top-down. OFI's equity investment strategies include: Large-Cap Core, Small & Mid Cap Growth Equity, Value & Income Equity, Emerging Markets Equity, and Global Equity. Their fixed income strategies include: Investment Grade Debt, Global Debt, Rochester Municipals, Multi-Sector Fixed Income, and Cash Strategies. OFI also offers Alternative and Global Multi-Asset investment strategies. | Finance |
University of Notre Dame
University of Notre Dame Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Marble Harbor Investment Counsel LLC
Marble Harbor Investment Counsel LLC Investment ManagersFinance Marble Harbor is a long-term investor and manages core portfolios of equities and fixed-income. The firm tailors each portfolio to meet the client's unique needs, objectives, and risk tolerance. They invest in businesses rather than speculate in stocks. Marble Harbor aims to identify companies that they believe have superior long-term growth potential and purchase them at reasonable valuations. | Finance |
Boston College
Boston College Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Concert Capital Partners
Concert Capital Partners Investment ManagersFinance Concert Capital Partners invests in proven growth companies in the consumer, business services, financial services and healthcare services sectors. The firm seeks companies that have rapid historical and projected growth (at least 15% to 20% annually), non-cyclical, recurring revenue and consistent profitability. They look for companies with annual revenues of $10 million to $100 million and operating cash flow of $3 million to $15 million. Concert Capital Partners typically invests $10 million to $40 million in equity capital per transaction, in companies valued at $15 million to $150 million | Finance |
AlphaOne Investment Services LLC
AlphaOne Investment Services LLC Investment ManagersFinance AlphaOne Investment Services' (AOIS) investment strategy for the AlphaOne Micro Cap Equity Fund is to build a portfolio with a risk profile less than that of the Russell 2000 Index that is comprised of both “value” and “growth” stocks through investing in equity securities of micro-cap companies. The AlphaOne Satori Master Fund Ltd. pursues a long/short investment strategy that focuses on investing in securities (including debt, derivatives and equity) of companies across a broad range of industries. The fund invests in securities listed in the US, as well as those which trade on internationally recognized exchanges or over-the-counter markets overseas. The funds generally place emphasis on investments in the following sectors: consumer, emerging/green technology, energy, financial, industrial, media, REITs, retailing, services, technology, telecommunications and transportation. The AlphaOne Global Innovations Master Fund Ltd. pursues a long/short investment strategy that primarily invests in the securities (including derivatives and equity) of companies in the technology, technology-related, media, alternative energy, and telecommunication industries. This includes companies listed in the US, as well as those which trade on internationally recognized exchanges or over-the-counter markets overseas. AOIS acts as the investment advisor and provides discretionary advisory services to corporations, institutions, pension plans, and charitable organizations through managed accounts. Some accounts are individually tailored and some are managed through AOIS' model investment strategies. The firm offers Small-Cap Growth, Small-Cap Core, Micro-Cap Core, Long/Short Technology and Long/Short model investment strategies for managed accounts. | Finance |
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