David Pepall, Portfolio Manager at Aventine Investment Counsel, presents a bullish case for critical infrastructure, dividend stocks, and bonds.
David Pepall2023-02-13T20:00:28+00:00February 13th, 2023|Market Outlook|
About the Author: David Pepall
David is a Portfolio Manager at Aventine with primary responsibility for investment research, trading and operational support. He works on the investment selection team for both clients’ core, low turnover holdings as well as those held by the firm’s two actively managed investment funds. David is also a key participant in our third party fund manager selection and monitoring process.
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