Ryan M. Hanna, CFA, CAIA has a diverse range of work experience in the financial industry. Ryan M. is currently a Managing Director and Co-Head of Business Development at GCM Grosvenor, focusing on strategic initiatives, product development, and corporate investment opportunities. Prior to this role, they served as an Executive Director at GCM Grosvenor, where they were responsible for strategy and corporate development.
Previously, Mr. Hanna worked at Segal Marco Advisors as a Senior Vice President and Head of Global Portfolio Solutions. In this role, they formulated and directed investment strategy for clients, ensuring consistent application of the firm's investment philosophies.
Before joining Segal Marco Advisors, Mr. Hanna worked at Marco Consulting Group. Ryan M. held various positions there, including Director of Investment Strategy, where they were responsible for formulating and directing investment policy and strategy for discretionary and non-discretionary clients. Ryan M. led all aspects of asset allocation and portfolio construction and created customized investment solutions for clients.
Mr. Hanna also has experience at Bank of America and Steiner + Associates, Inc. In these roles, they gained expertise in global derivatives and development finance analysis.
Overall, Ryan M. Hanna's work experience demonstrates their expertise in business development, investment strategy, and investment policy formulation. Ryan M. has a strong track record of creating and implementing customized solutions for clients.
Ryan M. Hanna, CFA, CAIA attended The Ohio State University Fisher College of Business, where they obtained a Bachelor of Science in Business Administration (BSBA) degree. Their field of study focused on Finance, Real Estate, and Urban Analysis.
In addition to their undergraduate degree, Ryan has obtained several certifications. Ryan M. is a Chartered Alternative Investment Analyst (CAIA) certified by the CAIA Association, having achieved this certification in April 2015. Ryan M. is also a Chartered Financial Analyst (CFA) certified by the CFA Institute. However, the specific obtained month and year for their CFA certification, as well as their additional certifications (Series 24, Series 63, and Series 7) from FINRA, are not provided.
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