About Thesis Funds

Thesis Fund Management is a New York-based registered investment advisor founded to bring alternative strategies to mutual funds and the investing public.

At Thesis we are singularly focused on alternative investing as our only business. Our performance is not dependent on the performance of a particular market style. We perform bottom-up security analysis to identify opportunities around the globe and then we seek to capitalize on those opportunities utilizing a wide variety of investment techniques. Our nimble investment decision-making and implementation process ensures we can act quickly and decisively when carrying out our investment objectives.

The Firm is independent and employee owned. Thesis Fund Management is further bolstered by an advisory board of leading investment and business professionals.

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Meet The Manager

 

STEPHEN ROSEMAN, CFA – Chief Executive Officer, Portfolio Manager. Prior to launching Thesis Fund Management, Mr. Roseman founded Thesis Capital, a long short equity hedge fund, in 2005. While at Thesis Capital, Mr. Roseman was often successful in identifying undervalued companies and frequently took an activist role in companies he believed would benefit from a change in strategy.

In 2007, Institutional Investor News named Mr. Roseman one of its "Rising Stars" in hedge funds. Before Thesis Capital Management, he was a Senior Vice President and Portfolio Manager at Kern Capital Management and a Vice President and Senior Analyst at OppenheimerFunds, Inc.

Mr. Roseman currently sits on several boards and is dedicated to improving financial literacy with respect to alternative investment strategies and investing. He received his M.B.A. from Fordham Graduate School of Business Administration, a B.A. from Arizona State University, and has over 15 years of investment industry experience.

Stephen Roseman Featured in Institutional Investor News' 2007 Rising Stars of Hedge Funds

 

 

  

A mutual fund that can profit when stocks go up or down, that can invest domestically or internationally, that is designed to effectively manage risk and preserve capital, and that can invest in any asset class, including stocks, bonds, commodities or derivatives.

Can your mutual fund do that?®