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ENDEAVOUR |
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| Patrick J. Carolan, Managing Partner | |||||||||||||||||||||||
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As the co-founder of Endeavour, Patrick has seventeen years industry experience as an investment professional. Prior to founding Endeavour he spent seven years as Managing Director at Century Capital Management in Boston where he successfully led marketing and launched the Century Small Cap Select Fund in 1999, the firm’s first institutional small cap growth separately managed account in 2003 and a SMid cap separately managed account in 2004. By the end of 2005 both small cap products were closed due to asset growth at $1.5 billion. Prior to Century, he was the Vice President, Marketing Management at Fidelity Investments in Boston and before that Vice President and Director of Mutual Funds at Wilshire Associates in Santa Monica, CA. In the mid 90's he was a Senior Key Account Manager with GT Global Mutual Funds in San Francisco where he successfully grew relationships with large wirehouse B/Ds and independent broker/ dealers and the RIA channel. He has a BA in Economics from Fairfield University and holds FINRA Series 7, 24, 63 and 66 securities licenses. |
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| John C. Graham, Managing Partner | |||||||||||||||||||||||
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Having over two decades of experience with professional service firms, investment managers and private equity managers, Cale’s client-centric, service-orientation is a cornerstone to Endeavour’s approach. Prior to co-founding Endeavour, he provided “hands-on” senior management expertise for several private equity portfolio companies in start-up and turnaround situations. During his five years at Fidelity Investments in Boston he successfully lead marketing efforts within institutional, broker/dealer, and RIAs. As Vice President he was responsible for coordinating Fidelity’s re-launch of their retirement planning website. Before Fidelity, Cale helped launch and then lead Wells Fargo Bank’s insurance subsidiary in San Francisco. Cale holds a BA in Architecture from Princeton University, a JD from Pepperdine University and an MBA from Boston College, as well being as admitted to practice law in Massachusetts. He holds FINRA Series 6, 63 and 65 securities licenses. |
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