Profile
Prior to joining MCA in 2007, Mr. Arjun served as a Senior Research Analyst and Sector Manager at Guardian Life and the YMCA Retirement Fund in New York City.
In 1999 he moved to the Investment Department and began covering the producer durables sector of the Russell 1000.
Prior to joining the Fund, he worked for two years as an auditor at KPMG LLP.
Mr. Arjun has a BS in business administration from Boston University.
Former positions of Drew Arjun
| Companies | Position | End |
|---|---|---|
MEMBERS Capital Advisors, Inc.
MEMBERS Capital Advisors, Inc. Investment ManagersFinance MCA’s investment philosophy is centered on the belief that incremental value can be added through both security and sector selection, coupled with rigorous internal credit approval and underwriting processes. The firm aims to produce strong and consistent levels of risk-adjusted net investment income and competitive total returns through market cycles, while strictly controlling risk and protecting surplus. | Analyst-Equity | 30/10/2009 |
The YMCA Retirement Fund
The YMCA Retirement Fund Investment ManagersFinance YRF invests in a wide range of assets for the purpose of diversification, which results in lower risk. With a focus on long-term investing and portfolio diversification, the Fund is equipped to endure short-term market fluctuations. To maximize returns and minimize risk for career Y employees, the Fund manages its portfolio according to its long-term investment philosophy and objectives. The Fund’s Board of Trustees sets the investment policy with a target weight for each asset class in the Fund’s portfolio. | Portfolio Manager-Equities | 30/06/2006 |
Experiences
Positions held
Active
Inactive
Listed companies
Private companies
Connections
1st degree connections
1st degree companies
Male
Female
Members of the board
Executives
Linked companies
| Private companies | 2 |
|---|---|
MEMBERS Capital Advisors, Inc.
MEMBERS Capital Advisors, Inc. Investment ManagersFinance MCA’s investment philosophy is centered on the belief that incremental value can be added through both security and sector selection, coupled with rigorous internal credit approval and underwriting processes. The firm aims to produce strong and consistent levels of risk-adjusted net investment income and competitive total returns through market cycles, while strictly controlling risk and protecting surplus. | Finance |
The YMCA Retirement Fund
The YMCA Retirement Fund Investment ManagersFinance YRF invests in a wide range of assets for the purpose of diversification, which results in lower risk. With a focus on long-term investing and portfolio diversification, the Fund is equipped to endure short-term market fluctuations. To maximize returns and minimize risk for career Y employees, the Fund manages its portfolio according to its long-term investment philosophy and objectives. The Fund’s Board of Trustees sets the investment policy with a target weight for each asset class in the Fund’s portfolio. | Finance |
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