About Us

Martin DeBovis, PhD is an experienced and successful portfolio manager and quantitative analyst. Over his career he has managed quantitatively a domestic large cap value fund and international equity portfolios. He has done extensive backtesting of investment anomalies for a number of firms to create various investment strategies. In addition, he has extensive experience using data platforms such as FactSet and Zacks Investment Research.

He has a PhD in both mathematics and statistics from Emory University. Martin has taught at Georgia State University and the University of Florida.