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Ms. Boyd has over thirty years of experience in the investment business.  Prior to joining SeaBridge Investment Advisors, LLC, she worked for The Prudential Insurance Company of America from 1971 through 1997.  She served as Chief Operating Officer of several different investment units, with responsibilities for operations, technology, compliance, finance, administration, human resources, and marketing functions.  Highlights included a major restructuring of investment operations, development of technology strategies, and implementation of control structures.  Earlier in her career at Prudential, Ms. Boyd also had quantitative equity research and portfolio management responsibilities, including developing dividend discount and portfolio construction models; establishing and managing equity index funds based on the S&P 500, the Wilshire 5000, and the EAFE index; and running a $2 billion low p/e quantitative investment portfolio.

Ms. Boyd has a B.A. in mathematics from the College of Saint Elizabeth (magna cum laude) and received an M.A. in math from Fordham University Graduate School of Arts and Sciences under a National Science Foundation fellowship.  She also earned an Advanced Professional Certificate (APC) from New York University in finance and statistics.  She holds the Chartered Financial Analyst designation and is also a Fellow, Life Management Institute.

At SeaBridge, Ms. Boyd is Chief Operating Officer and Chief Compliance Officer and a member of the Investment Committee.

Contact Ms. Boyd at sboyd@seabridge.com

 

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