Perfil
Jason Yellin formerly worked at WRA Investments LLC, as Managing Director, Millennium Management LLC, as Analyst from 2024 to 2025, Rubric Capital Management LLC, as Analyst from 2025, Cramer Rosenthal McGlynn LLC, as Portfolio Manager from 2019 to 2024, Cobalt Capital Management, Inc., as Research Analyst from 2004 to 2005, and JAT Capital Management LP (Old), as Analyst.
Mr. Yellin received his undergraduate degree from The Wharton School of the University of Pennsylvania.
Antiguos cargos conocidos de Jason Yellin.
| Empresas | Cargo | Fin |
|---|---|---|
Millennium Management LLC
Millennium Management LLC Financial ConglomeratesFinance Millennium Management employs a global multi-strategy investment approach, opportunistically engaging in a broad array of trading and investing strategies across a wide group of diversified managers. The firm prefers trading teams that produce small gains on winning days and smaller losses on losing days. They emphasize diversity in asset classes, industry sectors and geographic boundaries and invest in a variety of domestic and international equity and debt securities, currencies, futures, forwards, options and other instruments. | Analyst-Equity | 01/12/2025 |
Cramer Rosenthal McGlynn LLC
Cramer Rosenthal McGlynn LLC Investment ManagersFinance CRM typically manages accounts in accordance with its overall investment style focused on a relative value-oriented investment philosophy which is designed to outperform the broad market and pertinent indices over a full market cycle by participating in good market periods and limiting declines in poor periods. They view investment prospects on a long-term basis. The firm systematically and consistently incorporate ESG factors into their research process and portfolio construction as they believe ESG integration complements their fundamental, bottom-up investment style and provide a more complete picture of a company. | Analyst-Equity | 01/05/2024 |
Rubric Capital Management LLC
Rubric Capital Management LLC Investment ManagersFinance Rubric Capital Management employs a deep-value, generalist strategy that trades across asset classes with a focus on undervalued securities. | Analyst-Equity | - |
Cobalt Capital Management, Inc.
Cobalt Capital Management, Inc. Investment ManagersFinance Cobalt Capital seeks to generate above-average long-term capital appreciation with below average levels of risk through investments in equity securities using both long and short positions. | Analyst-Equity | 07/03/2005 |
JAT Capital Management LP (Old)
JAT Capital Management LP (Old) Investment ManagersFinance JAT Capital Management (JAT) employs a fundamentally-oriented, longer-term, private equity-like approach to public equity investing. The firm offers both long-short and long equity strategies, with a focus on the Telecom, Media & Technology and Travel, Leisure & Gaming sectors. The JAT Capital Funds and the JAT Select Funds employ similar investment programs which typically invest on a side-by-side basis. Investments are generally allocated between the funds on a pro rata basis based on net asset value. The JAT Capital Funds and the JAT Select Funds may invest globally, long and short, opportunistically across a wide range of sectors, primarily in equity securities. The JAT Prime Funds seek to maximize long-term, risk-adjusted returns through a diversified portfolio of individual long investment ideas. They portfolio generally reflects the liquid long equity positions held by the JAT Capital Funds. The JAT Prime Funds may also enter into certain short transactions against existing long investments to reduce exposure. While not specifically targeted toward non-US investments, the funds may have invest a significant portion of their assets in companies whose primary businesses are located outside the US. The funds are sector and market agnostic and are not limited by the issuer, industry or market. In addition to investing in exchange-traded equity securities, the funds may invest in a variety of other financial instruments such as OTC and exchange-traded derivatives relating to equities, equity indices, credit, and credit indices (options, swaps, futures and options on futures); fixed-income securities including bonds and other debt obligations, sovereign debt securities and derivatives; and foreign currency forwards and other instruments. Investments may be made for speculative purposes or to hedge against risk. The funds may also invest in short-term cash-like investments, such as money-market funds or US government-issued securities. | Analyst-Equity | - |
Formación de Jason Yellin.
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Empresas relacionadas
| Empresas privadas | 7 |
|---|---|
Cramer Rosenthal McGlynn LLC
Cramer Rosenthal McGlynn LLC Investment ManagersFinance CRM typically manages accounts in accordance with its overall investment style focused on a relative value-oriented investment philosophy which is designed to outperform the broad market and pertinent indices over a full market cycle by participating in good market periods and limiting declines in poor periods. They view investment prospects on a long-term basis. The firm systematically and consistently incorporate ESG factors into their research process and portfolio construction as they believe ESG integration complements their fundamental, bottom-up investment style and provide a more complete picture of a company. | Finance |
Cobalt Capital Management, Inc.
Cobalt Capital Management, Inc. Investment ManagersFinance Cobalt Capital seeks to generate above-average long-term capital appreciation with below average levels of risk through investments in equity securities using both long and short positions. | Finance |
WRA Investments LLC
WRA Investments LLC Investment ManagersFinance WRA Investments invests globally mainly in the stocks of large-cap companies across all sector. | Finance |
Millennium Management LLC
Millennium Management LLC Financial ConglomeratesFinance Millennium Management employs a global multi-strategy investment approach, opportunistically engaging in a broad array of trading and investing strategies across a wide group of diversified managers. The firm prefers trading teams that produce small gains on winning days and smaller losses on losing days. They emphasize diversity in asset classes, industry sectors and geographic boundaries and invest in a variety of domestic and international equity and debt securities, currencies, futures, forwards, options and other instruments. | Finance |
JAT Capital Management LP (Old)
JAT Capital Management LP (Old) Investment ManagersFinance JAT Capital Management (JAT) employs a fundamentally-oriented, longer-term, private equity-like approach to public equity investing. The firm offers both long-short and long equity strategies, with a focus on the Telecom, Media & Technology and Travel, Leisure & Gaming sectors. The JAT Capital Funds and the JAT Select Funds employ similar investment programs which typically invest on a side-by-side basis. Investments are generally allocated between the funds on a pro rata basis based on net asset value. The JAT Capital Funds and the JAT Select Funds may invest globally, long and short, opportunistically across a wide range of sectors, primarily in equity securities. The JAT Prime Funds seek to maximize long-term, risk-adjusted returns through a diversified portfolio of individual long investment ideas. They portfolio generally reflects the liquid long equity positions held by the JAT Capital Funds. The JAT Prime Funds may also enter into certain short transactions against existing long investments to reduce exposure. While not specifically targeted toward non-US investments, the funds may have invest a significant portion of their assets in companies whose primary businesses are located outside the US. The funds are sector and market agnostic and are not limited by the issuer, industry or market. In addition to investing in exchange-traded equity securities, the funds may invest in a variety of other financial instruments such as OTC and exchange-traded derivatives relating to equities, equity indices, credit, and credit indices (options, swaps, futures and options on futures); fixed-income securities including bonds and other debt obligations, sovereign debt securities and derivatives; and foreign currency forwards and other instruments. Investments may be made for speculative purposes or to hedge against risk. The funds may also invest in short-term cash-like investments, such as money-market funds or US government-issued securities. | Finance |
The Wharton School of the University of Pennsylvania
The Wharton School of the University of Pennsylvania Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Rubric Capital Management LLC
Rubric Capital Management LLC Investment ManagersFinance Rubric Capital Management employs a deep-value, generalist strategy that trades across asset classes with a focus on undervalued securities. | Finance |
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