Company Overview of Mellon Capital Management Corporation
Mellon Capital Management Corporation is a privately owned investment manager. The firm primarily provides its services to pension and profit sharing plans. It also caters to banking or thrift institutions, high net worth individuals, investment companies, pooled investment vehicles, charitable organizations, corporations, state or municipal government entities, and wrap fee program sponsors. The firm manages separate client-focused equity, fixed income, and balanced portfolios. It launches and manages equity, fixed income, and balanced mutual funds for its clients. The firm invests in the public equity, fixed income, currency, and alternative markets across the globe. It also makes its inve...
50 Fremont Street
San Francisco, CA 94105
Founded in 1983
Key Executives for Mellon Capital Management Corporation
Compensation as of Fiscal Year 2014.
Mellon Capital Management Corporation Key Developments
Mellon Capital Management Corp. Appoints Philip Lung to as Division Head in the Asia-Pacific Region
Nov 7 14
Mellon Capital Management Corp. reported that it appointed Philip Lung to the newly created position of division head in the Asia-Pacific region. Lung will work closely with BNY Mellon Investment Management Hong Kong Ltd.'s Asia-Pacific distribution team and be responsible for expanding Mellon Capital's investment offerings in the region. Lung most recently managed a private multi-asset investment portfolio in Hong Kong. In Hong Kong, Mellon Capital is a division of BNY Mellon Investment Management Hong Kong.
Mellon Capital Management Corporation Presents at The 18th Annual Global Indexing and ETFs, Dec-09-2013 03:55 PM
Dec 5 13
Mellon Capital Management Corporation Presents at The 18th Annual Global Indexing and ETFs, Dec-09-2013 03:55 PM. Venue: JW Marriott Camelback Inn, Scottsdale, Arizona, United States. Speakers: Lynn Challenger, Managing Director, Global Trading.
BNY Mellon Global High Yield Bond Fund Declares Dividends, Payable on November 11, 2013
Oct 3 13
BNY Mellon Global High Yield Bond Fund declares dividends per share of EUR 0.0047 on EUR X (Inc.) (hedged) shares and USD 0.0120 on USD X (Inc.) shares, payable on November 11, 2013, record date is September 30, 2013 and ex-date is October 1, 2013.
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