Profile
Mr. Travis J.
Dowle, CFA, is a President & Fund Manager at Maxam Capital Management Ltd.
He began his career in 1996 with MK Wong & Associates, which was later acquired by HSBC Asset Management.
He left HSBC in 2007 to lead public market investments for a family office/private investment group, before he founded Maxam in 2009.
He is a graduate of the University of Western Ontario, holds the Chartered Financial Analyst designation.
Travis Jay Dowle active positions
| Companies | Position | Start |
|---|---|---|
Maxam Capital Management Ltd.
Maxam Capital Management Ltd. Investment ManagersFinance Maxam is an active, opportunistic manager that seeks to generate strong risk-adjusted returns for their clients. The firm believes that an active, opportunistic, and flexible approach to investing will enable them to generate long-term positive returns for their clients through a variety of market environments. They utilize alternative strategies to generate returns and actively manage risk. Maxam’s goal is to provide strong risk-adjusted returns to investors, which remains core to the investment philosophy and approach today. | Founder | 2008-12-31 |
Former positions of Travis Jay Dowle
| Companies | Position | End |
|---|---|---|
Balfour Pacific Capital, Inc.
Balfour Pacific Capital, Inc. Investment ManagersFinance SCCP provides mezzanine debt and equity financing to middle-market companies throughout Canada and the Western and Midwestern US. The firm focuses on a wide range of industries including healthcare, industrial products and technology. They look for companies with exceptional management teams, leading and defensible market positions, large and well-defined market opportunities and strong financial disciplines. SCCP participates in management buy-outs and buy-ins, acquisitions financings, shareholder successions, restructurings, recapitalizations, expansion capital financings and bridge financings. Investments are typically made in the form of equity or equity-like instruments, mezzanine loans, bridge loans or a combination of these. | Private Equity Investor | - |
Gibralt Capital Corp /Private Equity/
Gibralt Capital Corp /Private Equity/ Investment ManagersFinance Gibralt focuses on investments that span the globe, but with a specific presence in North America. Gibralt's opportunistic strategy targets attractive absolute returns. These strategies may exhibit short term volatility, exposure to a less liquid set of investments and varying correlation to equity, credit and interest rate markets. They also may exhibit a higher degree of manager concentration relative to broadly diversified strategies in order to emphasize particularly attractive current market opportunities. | Corporate Officer/Principal | 2010-06-30 |
HSBC Securities (Canada), Inc.
HSBC Securities (Canada), Inc. Investment Banks/BrokersFinance Provides brokerage services | Corporate Officer/Principal | 2007-05-31 |
Lions Investment Management Ltd.
Lions Investment Management Ltd. Investment ManagersFinance Lions Investment Management (LIM) employs an active, flexible and opportunistic investment strategy that seeks to generate long-term positive returns across a variety of market environments, while minimizing risk. The firm utilizes a bottom-up security selection approach that focuses on event-driven situations, undervalued securities and special situations. In managing their funds, LIM uses 4 main strategies: (1) merger arbitrage (2) long positions with targeted events/catalysts (3) short positions with targeted events/catalysts and (4) pair trades. The firm looks for investment opportunities in which they can clearly identify an expected catalyst that will generate a change in a security's price. LIM invests primarily in the stocks of US and Canadian companies, with a small/mid-cap bias. | Founder | - |
Training of Travis Jay Dowle
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 |
|---|---|
Lions Investment Management Ltd.
Lions Investment Management Ltd. Investment ManagersFinance Lions Investment Management (LIM) employs an active, flexible and opportunistic investment strategy that seeks to generate long-term positive returns across a variety of market environments, while minimizing risk. The firm utilizes a bottom-up security selection approach that focuses on event-driven situations, undervalued securities and special situations. In managing their funds, LIM uses 4 main strategies: (1) merger arbitrage (2) long positions with targeted events/catalysts (3) short positions with targeted events/catalysts and (4) pair trades. The firm looks for investment opportunities in which they can clearly identify an expected catalyst that will generate a change in a security's price. LIM invests primarily in the stocks of US and Canadian companies, with a small/mid-cap bias. | Finance |
HSBC Securities (Canada), Inc.
HSBC Securities (Canada), Inc. Investment Banks/BrokersFinance Provides brokerage services | Finance |
Gibralt Capital Corp /Private Equity/
Gibralt Capital Corp /Private Equity/ Investment ManagersFinance Gibralt focuses on investments that span the globe, but with a specific presence in North America. Gibralt's opportunistic strategy targets attractive absolute returns. These strategies may exhibit short term volatility, exposure to a less liquid set of investments and varying correlation to equity, credit and interest rate markets. They also may exhibit a higher degree of manager concentration relative to broadly diversified strategies in order to emphasize particularly attractive current market opportunities. | Finance |
University of Western Ontario
University of Western Ontario Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Balfour Pacific Capital, Inc.
Balfour Pacific Capital, Inc. Investment ManagersFinance SCCP provides mezzanine debt and equity financing to middle-market companies throughout Canada and the Western and Midwestern US. The firm focuses on a wide range of industries including healthcare, industrial products and technology. They look for companies with exceptional management teams, leading and defensible market positions, large and well-defined market opportunities and strong financial disciplines. SCCP participates in management buy-outs and buy-ins, acquisitions financings, shareholder successions, restructurings, recapitalizations, expansion capital financings and bridge financings. Investments are typically made in the form of equity or equity-like instruments, mezzanine loans, bridge loans or a combination of these. | Finance |
Maxam Capital Management Ltd.
Maxam Capital Management Ltd. Investment ManagersFinance Maxam is an active, opportunistic manager that seeks to generate strong risk-adjusted returns for their clients. The firm believes that an active, opportunistic, and flexible approach to investing will enable them to generate long-term positive returns for their clients through a variety of market environments. They utilize alternative strategies to generate returns and actively manage risk. Maxam’s goal is to provide strong risk-adjusted returns to investors, which remains core to the investment philosophy and approach today. | Finance |
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