Profile
Manish Keshive worked as a Director at DWS Investment Management Americas, Inc. from 2001 to 2005.
He also worked as a Senior Analyst at Pine Grove Associates, Inc.
Former positions of Manish Keshive
| Companies | Position | End |
|---|---|---|
DWS Investment Management Americas, Inc.
DWS Investment Management Americas, Inc. Investment ManagersFinance DIMA typically invest in securities that appear to offer the best potential to meet client needs, which may include any number of factors such as: yield, value, growth, income, etc. The firm utilizes a variety of quantitative and qualitative techniques in trying to meet clients' investment objectives. Portfolio management constructs the strategy using a combination of top-down macro views and bottom-up research along with risk management strategies. | Portfolio Manager-Equities | 2005-05-18 |
Pine Grove Associates, Inc.
Pine Grove Associates, Inc. Investment ManagersFinance Pine Grove uses an absolute return approach attempts to achieve the long run return on stocks with low volatility, low risk and low correlation to other asset classes. | Analyst-Equity | - |
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 | 2 |
|---|---|
DWS Investment Management Americas, Inc.
DWS Investment Management Americas, Inc. Investment ManagersFinance DIMA typically invest in securities that appear to offer the best potential to meet client needs, which may include any number of factors such as: yield, value, growth, income, etc. The firm utilizes a variety of quantitative and qualitative techniques in trying to meet clients' investment objectives. Portfolio management constructs the strategy using a combination of top-down macro views and bottom-up research along with risk management strategies. | Finance |
Pine Grove Associates, Inc.
Pine Grove Associates, Inc. Investment ManagersFinance Pine Grove uses an absolute return approach attempts to achieve the long run return on stocks with low volatility, low risk and low correlation to other asset classes. | Finance |
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