Perfil
Mr. John M.
Flippin, Jr., is Principal & Portfolio Manager at Davidson & Garrard, Inc. He serves on the firm's Investment Committee.
He is active in overseeing operations in the Lynchburg office.
He is currently serving on the Board of Meals on Wheels.
Prior to joining Davidson & Garrard in 2005, Mr. Flippin worked as a loan specialist for a North Carolina based financial services company and later as a buyer and manager in the automotive industry.
He served on the Board of the Jubilee Family Development Center as an executive committee member.
He received a B.S.
degree in Business Administration from Elon University and is a Certified Financial Planner.
Antiguos cargos conocidos de Jack Flippin.
| Empresas | Cargo | Fin |
|---|---|---|
Davidson & Garrard, Inc.
Davidson & Garrard, Inc. Investment ManagersFinance DG follows a long-term, value-oriented investment philosophy that attempts to avoid undue risk. They consider the quality and strength of a company's fundamentals as an essential element in discerning value. Their valuation analysis utilizes multiple methodologies to uncover stocks trading at price levels that provide meaningful appreciation potential. In addition to considering traditional value measures, they evaluate momentum factors and prefer companies that demonstrate positive earnings and price momentum. The firm utilizes fixed-income securities to provide current income and help reduce portfolio risk. DG employs a conservative fixed-income strategy that seeks to maximize returns while limiting credit and interest rate risks. As a rule, they invest only in U.S. Treasuries, government agencies and investment grade corporate or municipal bonds. Maturities are generally limited to a maximum of ten years. | Miembro del Comité de Inversión | 27/09/2017 |
Formación de Jack Flippin.
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Empresas relacionadas
| Empresas privadas | 2 |
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Davidson & Garrard, Inc.
Davidson & Garrard, Inc. Investment ManagersFinance DG follows a long-term, value-oriented investment philosophy that attempts to avoid undue risk. They consider the quality and strength of a company's fundamentals as an essential element in discerning value. Their valuation analysis utilizes multiple methodologies to uncover stocks trading at price levels that provide meaningful appreciation potential. In addition to considering traditional value measures, they evaluate momentum factors and prefer companies that demonstrate positive earnings and price momentum. The firm utilizes fixed-income securities to provide current income and help reduce portfolio risk. DG employs a conservative fixed-income strategy that seeks to maximize returns while limiting credit and interest rate risks. As a rule, they invest only in U.S. Treasuries, government agencies and investment grade corporate or municipal bonds. Maturities are generally limited to a maximum of ten years. | Finance |
Elon University
Elon University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
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