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Learn More About Our
Investment Products

Diversified Large Growth Equity


Focused Growth Equity
Small Cap Growth Equity
Genesis Small Growth Equity
High-Quality Core Fixed Income
Intermediate Fixed Income
Short-term Fixed Income
Florida Municipal Reserve Pools I, II, III, IV
Balanced

Contact Sawgrass Asset Management

Compliance Team

 

Dean McQuiddyDean McQuiddy, CFA, Co-Founding Principal

CCO, Director of Equity
34 Years of Investment Experience

Mr. McQuiddy is a Principal of Sawgrass, directs the firm’s equity management and research efforts and is the lead portfolio manager for the Small Cap Growth Equity product. He serves on several of the firm’s committees, including equity research, management and strategic planning. Prior to Sawgrass, he spent 15 years with Barnett Capital Advisors, Inc., solely responsible for creating the firm’s small growth product in January of 1987.

His educational accomplishments include a B.S. in Finance from the University of Florida and earning the Chartered Financial Analyst (CFA) designation from The CFA Institute (formerly AIMR), of which he is also a member.




Andrew CantorAndy Cantor, CFA, Co-Founding Principal

Compliance/Investment Advisor
42 Years of Investment Experience

Mr. Cantor is a Principal of Sawgrass and is currently a compliance and investment advisor to the firm.  He serves on several of the firm’s committees, including management and strategic planning.  His experience includes over 30 years of experience managing funds for pension, endowments, foundations, insurance companies, corporate reserves and individuals.  Prior to Sawgrass, he spent 15 years with Barnett Capital Advisors, Inc., responsible for creating the institutional group’s fixed income investment discipline and  head of all taxable fixed income assets, and two years with Gulf United Corporation, responsible for economic and interest rate analysis and the management of approximately $1.1 billion in fixed income investments.

His educational accomplishments include a B.S. in Mathematics from Florida Atlantic University,  a M.A. in Economics from the University of South Carolina, and earning a Chartered Financial Analyst (CFA) designation from The CFA Institute (formerly AIMR), of which he is a member. He is also a member and has served as a former President of the Jacksonville Financial Analysts Society.




Matthew MurrayMatthew Murray

Compliance Analyst
5 Years of Investment Experience

Mr. Murray is a Compliance Analyst at Sawgrass, responsible for coordinating with the Chief Compliance Officer to assure the firm remains compliant with applicable regulations and industry best practices, and to help build and maintain the company’s culture of compliance. Prior to joining Sawgrass, he spent time in regulations licensing and investment support at Fidelity Investments, as well as regulatory supervision at Merrill Lynch.

His educational accomplishments include a B.S. in Food and Resource Economics and a Masters of Agribusiness from The University of Florida.

 

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