Frank J. Reda
About Frank J. Reda
Frank J. Reda is a Portfolio Manager at a Fixed Income Asset Management firm, responsible for investment policy, strategy, and managing client portfolios.
Frank J. Reda Portfolio Manager
Frank J. Reda holds the position of Portfolio Manager in the Fixed Income Asset Management department. In this role, he is responsible for the firm's investment policy and strategy. He manages client portfolios and oversees trading and broker relationships. Frank has been a part of the team since 2001, bringing extensive experience and expertise to his responsibilities.
Frank J. Reda Education and Expertise
Frank J. Reda has a solid educational foundation in finance. He holds a Master of Science in Finance from Florida International University and a Bachelor of Science in Economics and Finance from Barry University. In addition, he was awarded the Chartered Market Technician (CMT) designation in 2011, further establishing his proficiency in market analysis and technical strategies.
Frank J. Reda Background and Professional Experience
Frank J. Reda joined the team in 2001 and has since played a significant role in shaping the firm's investment policies and strategies. As Portfolio Manager, he oversees client portfolios, ensuring their alignment with investment objectives. His responsibilities extend to managing trading activities and maintaining broker relationships. His long-standing tenure underscores his commitment and value within the team.