Profile
Jeffrey Steven Kalicka worked as an Analyst at Aria Partners Group LLC from 2003 to 2004.
He then worked as an Analyst at Highmount Capital LLC from 2005 to 2010.
From 2010 to 2022, he worked at Mangrove Partners as a Partner & Senior Analyst.
Kalicka received his undergraduate degree from American University.
Former positions of Jeffrey Kalicka
| Companies | Position | End |
|---|---|---|
Mangrove Partners
Mangrove Partners Investment ManagersFinance Mangrove aims to generate positive returns from both long and short investments as opposed to employing a relative value or market hedging strategy. Their investment process involves in-depth analysis and valuation work at the company level while being cognizant of underlying industry dynamics. The firm employs a rigorous risk management discipline focused on taking intentional and defined risks at the position, industry, and portfolio level. Mangrove is an activist firm and is included in the SharkWatch50 as one of the 50 most prominent and impactful activist investors. | Analyst-Equity | 28/02/2022 |
Highmount Capital LLC
Highmount Capital LLC Investment ManagersFinance Highmount Capital employs a hybrid investment strategy to leverage both their own expertise and that of others. Internally, Highmount actively manages US large-cap core equities, global large-cap equities, as well as US and non-dollar fixed-income portfolios. In addition, the firm may recommend and allocate assets to top-tier third party advisors (TPA) across a broad spectrum of asset classes, including, but not limited to, US and global micro, small-, mid- and large-cap stocks, hedge funds, and private equity, and in certain cases they have the discretion to hire and fire TPAs and/or reallocate assets amongst TPAs on a discretionary basis. Depending upon the size of each account, Highmount Capital accesses these managers through separate accounts, pooled partnerships, mutual funds, and ETFs. In providing investment management services, the firm may utilize recommendations based on model portfolios developed by advisors which they have engaged. | Analyst-Equity | 30/01/2010 |
Aria Partners Group LLC
Aria Partners Group LLC Investment ManagersFinance Aria Partners Group provides fundamental analytical research and invests primarily in US equities, special situations and distressed securities. | Analyst-Equity | 30/12/2004 |
Training of Jeffrey Kalicka
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 | 4 |
|---|---|
American University
American University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Aria Partners Group LLC
Aria Partners Group LLC Investment ManagersFinance Aria Partners Group provides fundamental analytical research and invests primarily in US equities, special situations and distressed securities. | Finance |
Highmount Capital LLC
Highmount Capital LLC Investment ManagersFinance Highmount Capital employs a hybrid investment strategy to leverage both their own expertise and that of others. Internally, Highmount actively manages US large-cap core equities, global large-cap equities, as well as US and non-dollar fixed-income portfolios. In addition, the firm may recommend and allocate assets to top-tier third party advisors (TPA) across a broad spectrum of asset classes, including, but not limited to, US and global micro, small-, mid- and large-cap stocks, hedge funds, and private equity, and in certain cases they have the discretion to hire and fire TPAs and/or reallocate assets amongst TPAs on a discretionary basis. Depending upon the size of each account, Highmount Capital accesses these managers through separate accounts, pooled partnerships, mutual funds, and ETFs. In providing investment management services, the firm may utilize recommendations based on model portfolios developed by advisors which they have engaged. | Finance |
Mangrove Partners
Mangrove Partners Investment ManagersFinance Mangrove aims to generate positive returns from both long and short investments as opposed to employing a relative value or market hedging strategy. Their investment process involves in-depth analysis and valuation work at the company level while being cognizant of underlying industry dynamics. The firm employs a rigorous risk management discipline focused on taking intentional and defined risks at the position, industry, and portfolio level. Mangrove is an activist firm and is included in the SharkWatch50 as one of the 50 most prominent and impactful activist investors. | Finance |
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