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Constantia Capital, Ltd.

17 Hendrickson Rd, Suite 100
Lawrenceville, NJ 08648

+1-609-512-1812

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Content © 2013-2019 Constantia Capital LLC.  All rights reserved.  Registered in New Jersey, New York, and Pennsylvania.
Past performance is not a guarantee of future results.  Strategies involve risk of loss of principal.

Investment Management Strategies to help you exceed your benchmark.

We will work with you to find the investment strategy that best matches your needs from our suite of risk-controlled and benchmark-centric investment products.

OUR TEAM

Harvey Fram, CFA
       Founder and Portfolio Manager

 

Harvey founded Constantia Capital in 2013, and is the Portfolio Manager for its Merger-Arbitrage, Large-Cap 130/30 and Small-Cap 130/30 strategies. Prior to that, he was the Lead Portfolio Manager for the core equity team of Madison Square Investors, a subsidiary of New York Life, for 13 years. He took over management of the Large-Cap Enhanced strategy in 2000 while developing the Mid-, Small-Cap Core and 130/30 offerings. As lead PM, he oversaw assets increasing from $15 million to over $9 billion. Before joining New York Life, Harvey was a quantitative equity research analyst at ITG, a leading technology-based equity brokerage firm. Preceding that position, he was a portfolio manager for international equity derivatives at the Palladin Group, a hedge fund.

 

He earned his MBA from the Wharton School at the University of Pennsylvania. He also earned degrees in Electrical Engineering from the University of the Witwatersrand and in Computer Science from the University of Cape Town in South Africa.

David Starer, PhD
       Director of Research

David has been actively involved in quantitative equity research for over twenty years at prestigious asset management firms including Jacobs Levy Equity Management and Quantitative Management Associates, a division of Prudential Insurance.  In addition, he has taught graduate level Financial Engineering at Stevens Institute of Technology in Hoboken, New Jersey.

His research has appeared in the Financial Analysts Journal, the Journal of Portfolio Management, the Journal of Investing, the Oxford Handbook of Quantitative Asset Management, IEEE Transactions on Signal Processing, and others.  David has a PhD in electrical engineering from Yale University in New Haven, Connecticut, and a Bachelor of Science degree (with first class honors) in electrical engineering with a physics minor from the University of Cape Town, South Africa.

Phillip Fine, Series 65
       Chief Operating Officer

 

Phillip brings 10+ years of corporate financial management and consulting expertise to Constantia, as well as broad industry experience in electric power utilities and transportation services.

 

A fluent Russian speaker, Phillip was vice president of a venture capital fund, finance director, and strategy consultant in Kazakhstan, Ukraine, and Russia. Upon returning to the U.S., Phillip traded emerging markets eurobonds and depositary receipts at a specialist brokerage firm. Prior to earning his MBA from the Wharton School at the University of Pennsylvania, he earned Dean's List honors at Cornell University where he majored in Operations Research and Industrial Engineering.

     

 
Strategy
Quantitative Investing Defined
Performance
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CONTACT US

Constantia Capital, Ltd.

17 Hendrickson Rd, Suite 100
Lawrenceville, NJ 08648

+1-609-512-1812