Kim G. Redding – Chief Executive Officer and Chief Investment Officer
Mr. Redding, with 29 years of industry experience, is Chief Executive Officer and Chief Investment Officer. He has primary responsibility for the firm's equity and fixed income investment strategies. Mr. Redding has specialized in the management of institutional securities portfolios since 1986. Mr. Redding has a Bachelor of Arts degree in Finance with an emphasis in Real Estate from California State University, Fullerton.
Richard P. Torykian, Jr. – Managing Director, Director of Marketing and Client Service
Mr. Torykian is the Director of Marketing and Client Service. He is responsible for overseeing the day-to-day management of the marketing and client service team as well as for strategic product initiative. Additionally, he maintains a business development role within the institutional consultant, public and corporate plan sponsor, and sub-advisory marketplaces. Mr. Torykian has over 14 years of experience in the industry. Mr. Torykian received a Bachelor of Arts in History from Yale University and an MBA from The Anderson School at the University of California, Los Angeles.
Gregory Bordner – Director and Chief Risk Officer
Mr. Bordner is the Chief Risk Officer. He is responsible for reporting to the Chairman of the Investment Committee, as well as the Investment Committee on various aspects of the firm’s clients’ risk profiles, performance attribution and investment strategy. Additionally, Mr. Bordner manages the firm's Quantitative Analysis department, where he is responsible for overseeing the modeling and valuing of various structured securities, conducting scenario analyses to determine relative value and generating risk reports. Mr. Bordner holds a Master of Science in Financial Mathematics and a Bachelor of Arts in Physics from the University of Chicago.
Jon Tyras – Director and General Counsel
Mr. Tyras is the General Counsel and Corporate Secretary and oversees the Legal Department of Brookfield Investment Management. Mr. Tyras has BSBA degrees in finance and accounting and a J.D. from the University of Pennsylvania Law School.
Seth Gelman – Director and Chief Compliance Officer
Mr. Gelman is a Director and the Chief Compliance Officer. In this capacity, he oversees the firm’s compliance department and is responsible for the implementation of the firm’s compliance policies and procedures. Mr. Gelman also serves as the Chief Compliance Officer for Brookfield Investment Management’s registered investment companies. Mr. Gelman has over 10 years of compliance experience. Mr. Gelman holds a Bachelor of Arts from the University of Florida and a J.D. from the University of Miami School of Law.