Benjamin Patzik

Benjamin Patzik

Benjamin Patzik

Vice President, Global Portfolio Solutions

Mr. Patzik is a Vice President and Head of Portfolio Strategy & Solutions in Segal Marco Advisors’ Chicago office. He oversees new product development initiatives, designs and structures investment optimization strategies for existing and prospective client portfolios, coordinates cross-platform mandates, and guides consultant investment strategy. He also serves as the portfolio manager for the diversified alternative investment manager-based portfolio within Segal Marco’s discretionary investment platform where he is responsible for manager selection and asset allocation decision-making. Mr. Patzik is a member of Segal Marco’s Investment Committee and Alpha Manager Review Committee.

Mr. Patzik has prior experience conducting ongoing analysis of individual managers and coordinated all aspects of the investment due-diligence process, including working with current and prospective managers with an emphasis on alternative strategies. Prior to joining Segal Marco Advisors, Mr. Patzik served as an Investment Analyst at Grosvenor Capital Management specializing in hedge fund manager selection across multiple strategies (long/short, multi-strategy, relative value and macro).

Mr. Patzik received his BS in Accountancy from the University of Illinois at Urbana-Champaign and his MS in Accountancy with a concentration in Finance from the University of Illinois at Urbana-Champaign.  He is a Registered Certified Public Accountant, a CFA Charterholder, and a Member of the CFA Institute of Chicago.

Read insights from Benjamin

  • June 17, 2022

    Reviewing the Performance of Multi-Asset Class Solutions

    Get our detailed report on the potential benefits of MACS in a diversified portfolio.

    Topics covered: Investment

    Read full insight

Contact Benjamin

The information you provide will not be shared with anyone outside Segal.

Benjamin Patzik

Leadership

Benjamin Patzik

Benjamin Patzik

Vice President, Global Portfolio Solutions

Mr. Patzik is a Vice President and Head of Portfolio Strategy & Solutions in Segal Marco Advisors’ Chicago office. He oversees new product development initiatives, designs and structures investment optimization strategies for existing and prospective client portfolios, coordinates cross-platform mandates, and guides consultant investment strategy. He also serves as the portfolio manager for the diversified alternative investment manager-based portfolio within Segal Marco’s discretionary investment platform where he is responsible for manager selection and asset allocation decision-making. Mr. Patzik is a member of Segal Marco’s Investment Committee and Alpha Manager Review Committee.

Mr. Patzik has prior experience conducting ongoing analysis of individual managers and coordinated all aspects of the investment due-diligence process, including working with current and prospective managers with an emphasis on alternative strategies. Prior to joining Segal Marco Advisors, Mr. Patzik served as an Investment Analyst at Grosvenor Capital Management specializing in hedge fund manager selection across multiple strategies (long/short, multi-strategy, relative value and macro).

Mr. Patzik received his BS in Accountancy from the University of Illinois at Urbana-Champaign and his MS in Accountancy with a concentration in Finance from the University of Illinois at Urbana-Champaign.  He is a Registered Certified Public Accountant, a CFA Charterholder, and a Member of the CFA Institute of Chicago.

Read insights from Benjamin

  • June 17, 2022

    Reviewing the Performance of Multi-Asset Class Solutions

    Get our detailed report on the potential benefits of MACS in a diversified portfolio.

    Topics covered: Investment

    Read full insight

Contact Benjamin

The information you provide will not be shared with anyone outside Segal.

Leadership

Benjamin Patzik

Vice President, Global Portfolio Solutions

Benjamin Patzik

Contact Benjamin

The information you provide will not be shared with anyone outside Segal.

Mr. Patzik is a Vice President and Head of Portfolio Strategy & Solutions in Segal Marco Advisors’ Chicago office. He oversees new product development initiatives, designs and structures investment optimization strategies for existing and prospective client portfolios, coordinates cross-platform mandates, and guides consultant investment strategy. He also serves as the portfolio manager for the diversified alternative investment manager-based portfolio within Segal Marco’s discretionary investment platform where he is responsible for manager selection and asset allocation decision-making. Mr. Patzik is a member of Segal Marco’s Investment Committee and Alpha Manager Review Committee.

Mr. Patzik has prior experience conducting ongoing analysis of individual managers and coordinated all aspects of the investment due-diligence process, including working with current and prospective managers with an emphasis on alternative strategies. Prior to joining Segal Marco Advisors, Mr. Patzik served as an Investment Analyst at Grosvenor Capital Management specializing in hedge fund manager selection across multiple strategies (long/short, multi-strategy, relative value and macro).

Mr. Patzik received his BS in Accountancy from the University of Illinois at Urbana-Champaign and his MS in Accountancy with a concentration in Finance from the University of Illinois at Urbana-Champaign.  He is a Registered Certified Public Accountant, a CFA Charterholder, and a Member of the CFA Institute of Chicago.

Read insights from Benjamin

  • June 17, 2022

    Reviewing the Performance of Multi-Asset Class Solutions

    Get our detailed report on the potential benefits of MACS in a diversified portfolio.

    Topics covered: Investment

    Read full insight

Leadership

Benjamin Patzik

Vice President, Global Portfolio Solutions

Benjamin Patzik

Contact Benjamin

The information you provide will not be shared with anyone outside Segal.

Mr. Patzik is a Vice President and Head of Portfolio Strategy & Solutions in Segal Marco Advisors’ Chicago office. He oversees new product development initiatives, designs and structures investment optimization strategies for existing and prospective client portfolios, coordinates cross-platform mandates, and guides consultant investment strategy. He also serves as the portfolio manager for the diversified alternative investment manager-based portfolio within Segal Marco’s discretionary investment platform where he is responsible for manager selection and asset allocation decision-making. Mr. Patzik is a member of Segal Marco’s Investment Committee and Alpha Manager Review Committee.

Mr. Patzik has prior experience conducting ongoing analysis of individual managers and coordinated all aspects of the investment due-diligence process, including working with current and prospective managers with an emphasis on alternative strategies. Prior to joining Segal Marco Advisors, Mr. Patzik served as an Investment Analyst at Grosvenor Capital Management specializing in hedge fund manager selection across multiple strategies (long/short, multi-strategy, relative value and macro).

Mr. Patzik received his BS in Accountancy from the University of Illinois at Urbana-Champaign and his MS in Accountancy with a concentration in Finance from the University of Illinois at Urbana-Champaign.  He is a Registered Certified Public Accountant, a CFA Charterholder, and a Member of the CFA Institute of Chicago.

Read insights from Benjamin

  • June 17, 2022

    Reviewing the Performance of Multi-Asset Class Solutions

    Get our detailed report on the potential benefits of MACS in a diversified portfolio.

    Topics covered: Investment

    Read full insight

Leadership

Benjamin Patzik

Benjamin Patzik

Vice President, Global Portfolio Solutions

Contact Benjamin

The information you provide will not be shared with anyone outside Segal.

Mr. Patzik is a Vice President and Head of Portfolio Strategy & Solutions in Segal Marco Advisors’ Chicago office. He oversees new product development initiatives, designs and structures investment optimization strategies for existing and prospective client portfolios, coordinates cross-platform mandates, and guides consultant investment strategy. He also serves as the portfolio manager for the diversified alternative investment manager-based portfolio within Segal Marco’s discretionary investment platform where he is responsible for manager selection and asset allocation decision-making. Mr. Patzik is a member of Segal Marco’s Investment Committee and Alpha Manager Review Committee.

Mr. Patzik has prior experience conducting ongoing analysis of individual managers and coordinated all aspects of the investment due-diligence process, including working with current and prospective managers with an emphasis on alternative strategies. Prior to joining Segal Marco Advisors, Mr. Patzik served as an Investment Analyst at Grosvenor Capital Management specializing in hedge fund manager selection across multiple strategies (long/short, multi-strategy, relative value and macro).

Mr. Patzik received his BS in Accountancy from the University of Illinois at Urbana-Champaign and his MS in Accountancy with a concentration in Finance from the University of Illinois at Urbana-Champaign.  He is a Registered Certified Public Accountant, a CFA Charterholder, and a Member of the CFA Institute of Chicago.

Read insights from Benjamin

  • June 17, 2022

    Reviewing the Performance of Multi-Asset Class Solutions

    Get our detailed report on the potential benefits of MACS in a diversified portfolio.

    Topics covered: Investment

    Read full insight