David Kaczorowski, MBA

Title(s):
Adjunct Professor
School(s):
Business
Campus(es):
San Francisco
David Kaczorowski

Dave Kaczorowski has worked in finance for more than 13 years. An experienced investment manager of private and family office portfolios, he has investment expertise in all the five major asset classes and experience in the holistic management of a family office. His most recent position was as the primary investment manager for a highly diversified family office portfolio. Prior to that position, he spent five years in the investment banking industry as an equity research associate, covering technology companies. His resume in the industry includes Signal Hill Capital, Wedbush Securities and Stifel Financial. He also spent seven years as a financial analyst in the actuarial department of Liberty Mutual Insurance Group. He is a CFA charter holder.


COURSES TAUGHT

FI 203
Financial Analysis for Managers
FI 350
Portfolio Management

EDUCATION

  • MBA in Investment Management, Yale University - Yale School of Management
  • BS in Finance, Boston College

PROFESSIONAL & TEACHING EXPERIENCE

  • Adjunct Professor of Finance, University of San Francisco
  • Portfolio Manager, Riverstone Management LLC
  • Senior Equity Research Associate, Stifel Nicolaus
  • Senior Equity Research Associate, Wedbush Securities
  • Equity Research Associate, Signal Hill Capital
  • Risk Management Consultant, Liberty Mutual Insurance
  • Financial Analyst, Liberty Mutual Insurance

PROFESSIONAL ASSOCIATIONS

  • CFA Society of San Francisco

HONORS AND AWARDS

  • Outstanding Adjunct Faculty Award, 2016, Golden Gate University