Pzena Investment Management

Pzena Investment Management

Investment Management, 320 Park Ave, New York, 10022, United States, 51-200 Employees

pzena.com

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phone no Phone Number: 21********

Who is PZENA INVESTMENT MANAGEMENT

Our investment philosophy is simple: we seek to buy good businesses at low prices. We focus exclusively on companies that are underperforming their historically demonstrated earnings powe...

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  • 320 Park Ave, New York, New York, 10022, United States Headquarters: 320 Park Ave, New York, New York, 10022, United States
  • 1995 Date Founded: 1995
  • 51-200 Employees: 51-200
  • dollar-icon Revenue: $100 Million to $250 Million
  • tech-icon Active Tech Stack: See technologies

industries-icon Industry: Investment Management

SIC SIC Code: 6282

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Pzena Investment Management Org Chart and Mapping

Employees

Evan Fox

Principal, Portfolio Manager

John Flynn

Principal, Portfolio Manager

Jason Mai

Principal, Marketing & Client Service Operations Data Specialist

Tracy Karagianis

Chief Information Officer

Amanda Plata

Marketing & Client Services Assistant

Andrew Toner

Principal, Portfolio Management Associate

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Frequently Asked Questions Regarding Pzena Investment Management

Answer: Pzena Investment Management's headquarters are located at 320 Park Ave, New York, 10022, United States

Answer: Pzena Investment Management's phone number is 21********

Answer: Pzena Investment Management's official website is https://pzena.com

Answer: Pzena Investment Management's revenue is $100 Million to $250 Million

Answer: Pzena Investment Management's SIC: 6282

Answer: Pzena Investment Management has 51-200 employees

Answer: Pzena Investment Management is in Investment Management

Answer: Pzena Investment Management contact info: Phone number: 21******** Website: https://pzena.com

Answer: Our investment philosophy is simple: we seek to buy good businesses at low prices. We focus exclusively on companies that are underperforming their historically demonstrated earnings power, performing fundamental, bottom-up research on these companies in an effort to determine whether the problems that caused the earnings shortfall are temporary or permanent. We typically consider companies for inclusion in the portfolio when the following criteria are met: (1) the current valuation is low compared to the companys normalized earnings power; (2) the current earnings are below historic norms; (3) problems are viewed as temporary; (4) management has a viable strategy to generate earnings recovery; and (5) there is meaningful downside protection in case the earnings recovery does not materialize. We believe a concentrated portfolio exclusively focused on companies with these characteristics should generate meaningful excess returns for long-term investors.

Answer:

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