Profile

Prior to joining Smart Portfolios, Mr. Rosenthal was the Director of Risk Management for Boeing Capital Corporation and a Principal of Boeing Capital Securities, Inc. maintaining NASD Series 7, 63, and 24 registrations.
From 1999 to 2004, Mr. Rosenthal was Treasurer of Boeing Capital Corporation and executed the capital markets side of Boeing’s 1999-2003 growth strategy for its finance unit that saw portfolio growth from $2.5 billion to $12 billion.
From 1985 to 1999, he served as SVP and Treasurer of Sanwa Business Credit Corporation, managing a nearly $7 billion liability portfolio (plus $2b in derivatives) for that Japanese-bank-owned finance company.
Mr. Rosenthal has an MBA in Finance with a concentration in International Business from The University of Chicago, Chicago, Illinois in 1979, and a BS in Mathematics from Creighton University, Omaha, Nebraska in 1973.

Former positions of John F. Rosenthal

CompaniesPositionEnd
Analyst-Equity -
Corporate Officer/Principal -
Corporate Officer/Principal -
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Training of John F. Rosenthal

The University of Chicago Masters Business Admin
Creighton University Undergraduate Degree

Experiences
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100 +

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5

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Linked companies

Private companies3

Finance

Finance

Finance

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