Portfolio Manager
Marcel Gozali founded investment partnerships between 2017 and 2021 and generated more than 500% returns with a strategy grounded in his unique principles inspired by value investing.
Marcel spent 15 years in equity research, credit research, portfolio management, and asset allocation across investment banks, hedge funds, and family offices.
Marcel graduated from Columbia Business School with an MBA and Carleton College with a BA in Economics. At Columbia Business School, he participated in the Value Investing Program, a selective program for investors.