Profile
Mr. Talmadge D.
Gunn is a Senior Portfolio Manager at Robinson Capital Management LLC.
With over 30 years of fixed income management experience, he is responsible for managing short-term and long-term institutional portfolios.
Prior to joining the firm, he was the Senior Portfolio Manager and Senior Vice President for Ambassador Capital Management, a fixed-income only investment manager headquartered in downtown Detroit.
Earlier, he served as Senior Portfolio Manager and Director of Tax-Exempt Trading with Munder Capital Management.
He was responsible for the management of over $3 billion in taxable and tax-exempt fixed income portfolios, and Municipal Bond Funds.
He holds an MBA from University of Detroit, as well as a BA in Economics from the University of Michigan.
Tal Gunn active positions
| Companies | Position | Start |
|---|---|---|
Robinson Capital Management LLC
Robinson Capital Management LLC Investment ManagersFinance Robinson Capital seeks to generate maximum yields while incurring minimum levels of risk. The firm offers investment strategies designed to capitalize on certain inefficiencies in certain equity markets. They also offer traditional fixed-income investment strategies with exposure to both the equity and fixed-income markets. Robinson Capital’s investment approach employs both fundamental and value techniques to best identify positive risk and reward opportunities and to maintain a consistent and disciplined approach. | Portfolio Manager-Fixed Income | 2014-09-30 |
Former positions of Tal Gunn
| Companies | Position | End |
|---|---|---|
Munder Capital Management
Munder Capital Management Investment ManagersFinance Munder Capital Management offers a variety of investment disciplines including large-, mid-, and small-cap growth, small-cap value, international equity and taxable and municipal fixed income. Generally, securities are identified for equity accounts through a variety of fundamental factors such as earnings growth, capital efficiency and valuations. More subjective factors are often considered, such as the quality of the business model, competitive profile and quality of management. Technical factors are also often utilized, such as a company’s relative valuation, momentum and market sentiment. Portfolio construction is monitored and managed through risk controls such as overall tracking effort relative to the portfolio’s benchmark and maintaining discipline on targeted sector exposure, position size and capitalization. Fixed income strategies begin with a view of the economic fundamentals, which may be influenced by the Federal Reserve Bank’s policy intentions, inflation intentions and growth expectations and then key risks are identified, such as regulatory risks, merger and activity risks, and sovereign or contagion risks. These views lead to decisions on how to position a portfolio on the yield curve, opportunistic sector allocations to take advantage of any price discrepancies and, ultimately, security selection. Securities are generally selected by identifying securities with a low probability of a negative credit event, using a proprietary financial ratio model to identify purchase and sale candidates, and searching the market for individual pricing inefficiencies. | Portfolio Manager-Fixed Income | 2005-12-30 |
Ambassador Capital Management LLC
Ambassador Capital Management LLC Investment ManagersFinance Ambassador Capital Management focuses exclusively on the management of fixed-income portfolios. The firm employs the use of both fundamental and value investment approaches to identify positive risk/reward opportunities. Their investment process also involves the use quantitative analysis, including statistical and probability modeling. Ambassador's investment approach seeks to identify fundamental growth opportunities within the fixed-income markets, while overlaying a value component to quantify risk. Their fundamental analysis concentrates on identifying quality and strength in the economy, the various bond sectors and individual issuers. They measure value in terms of relative comparisons and exposure to downside risk. Ambassador emphasizes adding value through multiple diversified strategies, while maintaining risk at a minimum. | Portfolio Manager-Fixed Income | - |
Comerica Bank & Trust, NA
Comerica Bank & Trust, NA Major BanksFinance Operates as a nationally chartered commercial bank | Corporate Officer/Principal | - |
Training of Tal Gunn
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 | 6 |
|---|---|
Munder Capital Management
Munder Capital Management Investment ManagersFinance Munder Capital Management offers a variety of investment disciplines including large-, mid-, and small-cap growth, small-cap value, international equity and taxable and municipal fixed income. Generally, securities are identified for equity accounts through a variety of fundamental factors such as earnings growth, capital efficiency and valuations. More subjective factors are often considered, such as the quality of the business model, competitive profile and quality of management. Technical factors are also often utilized, such as a company’s relative valuation, momentum and market sentiment. Portfolio construction is monitored and managed through risk controls such as overall tracking effort relative to the portfolio’s benchmark and maintaining discipline on targeted sector exposure, position size and capitalization. Fixed income strategies begin with a view of the economic fundamentals, which may be influenced by the Federal Reserve Bank’s policy intentions, inflation intentions and growth expectations and then key risks are identified, such as regulatory risks, merger and activity risks, and sovereign or contagion risks. These views lead to decisions on how to position a portfolio on the yield curve, opportunistic sector allocations to take advantage of any price discrepancies and, ultimately, security selection. Securities are generally selected by identifying securities with a low probability of a negative credit event, using a proprietary financial ratio model to identify purchase and sale candidates, and searching the market for individual pricing inefficiencies. | Finance |
Ambassador Capital Management LLC
Ambassador Capital Management LLC Investment ManagersFinance Ambassador Capital Management focuses exclusively on the management of fixed-income portfolios. The firm employs the use of both fundamental and value investment approaches to identify positive risk/reward opportunities. Their investment process also involves the use quantitative analysis, including statistical and probability modeling. Ambassador's investment approach seeks to identify fundamental growth opportunities within the fixed-income markets, while overlaying a value component to quantify risk. Their fundamental analysis concentrates on identifying quality and strength in the economy, the various bond sectors and individual issuers. They measure value in terms of relative comparisons and exposure to downside risk. Ambassador emphasizes adding value through multiple diversified strategies, while maintaining risk at a minimum. | Finance |
University of Detroit Mercy
University of Detroit Mercy Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
University of Michigan
University of Michigan Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Comerica Bank & Trust, NA
Comerica Bank & Trust, NA Major BanksFinance Operates as a nationally chartered commercial bank | Finance |
Robinson Capital Management LLC
Robinson Capital Management LLC Investment ManagersFinance Robinson Capital seeks to generate maximum yields while incurring minimum levels of risk. The firm offers investment strategies designed to capitalize on certain inefficiencies in certain equity markets. They also offer traditional fixed-income investment strategies with exposure to both the equity and fixed-income markets. Robinson Capital’s investment approach employs both fundamental and value techniques to best identify positive risk and reward opportunities and to maintain a consistent and disciplined approach. | Finance |
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