Chris Mayer is the Investment Director of the Bonner family office. He is also the Chief Investment Strategist at Bonner & Partners. Before joining Bonner & Partners in 2016, he was the editor of Capital & Crisis, published by Agora Financial from 2004-2015. He was a corporate banker from 1994-2004, and graduated magna cum laude with a degree in finance from the University of Maryland. He also has an MBA from the same institution.
He is the author of Invest Like A Dealmaker: Secrets of a Former Banking Insider (2008), World Right Side Up: Investing Across Six Continents (2012), 100 Baggers: Stocks that Return 100-to-1 and How to Find Them (2015) and How Do You Know? A Guide to Thinking Clearly About Wall Street, Investing and Life (2018).
• The common characteristics of companies that have increased one hundredfold in value, including the most important metric to look for when trying to discover the next great investment.
• A major mistake most investors make that negatively impacts their long-term performance (as well as a technique to avoid making this common error).
• Two stocks that he believes to be profitable long-term investments.
About The Boyar Family of Companies
Boyar Asset Management
We have been managing money since 1983 utilizing our proprietary in-house value oriented equity strategies. We manage money for high net worth individuals and institutions via separately managed accounts. To find out how we can help you with your money management needs please click here
Since 1975 we have been producing independent research on intrinsically undervalued companies across the market capitalization spectrum and in a wide variety of industries using a business person’s approach to stock market investing. To find out how we can help you with your research needs please click here
Disclaimer: This interview does not constitute a complete description of our investment services and is for informational purposes only. It is in no way a solicitation to buy or an offer to sell any securities or investment advisory services. Any statements regarding market or other financial information is obtained from sources which we believe to be reliable, but we do not warrant or guarantee the timeliness or accuracy of this information. Past performance is no guarantee of future results and there is no assurance that any targets or forward-looking statements will be attained. This interview represents the views of Boyar Asset Management as of May 15th 2018 and may change without notice. Boyar Asset Management may own shares in any of the companies discussed during the interview.