VanEck
Michael Cohick has a diverse work experience spanning several industries. Michael began their career as an English Second Language Teacher at Saint Gabriel Catholic School in 1998, eventually transitioning to a Graphic Designer role at Chronos Publishing in 1999. In 2001, they became an Assistant Editor at the Williamsport Sun-Gazzette before moving on to a Director position at Columbia University in the City of New York in 2002. Cohick then joined ING as a Marketing Manager in 2007. Since 2011, they have been working at VanEck, starting as a Product Manager and gradually moving up the ranks to become the Director of ETF Product Marketing in 2018. In 2020, Cohick assumed their current role as the VP and Director of ETF Product Management at VanEck.
Michael Cohick earned a Bachelor of Arts (B.A.) degree from Goucher College, which they attended from 1994 to 1998. Michael later pursued a Master of Science (MS) degree in Strategic Communications/Marketing at Columbia University, where they studied from 2004 to 2006. Their education history also includes an unspecified period of time at Goucher College, although the specific start and end years, as well as the degree and field of study, are not provided.
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VanEck
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Disclosure: https://www.vaneck.com/us/en/social-media-disclaimer/ VanEck has a history of looking beyond the financial markets to identify trends that are likely to create impactful investment opportunities. We were one of the first U.S. asset managers to offer investors access to international markets. This set the tone for the firm’s drive to identify asset classes and trends—including gold investing in 1968, emerging markets in 1993, and Exchange Traded Funds in 2006—that subsequently shaped the investment management industry. Today, VanEck offers active and passive strategies with compelling exposures supported by well-designed investment processes. The firm’s capabilities range from core investment opportunities to more specialized exposures to enhance portfolio diversification. Our actively managed strategies are fueled by in-depth, bottom-up research and security selection from portfolio managers with direct experience in the sectors and regions in which they invest. Investability, liquidity, diversity, and transparency are key to the experienced decision-making around market and index selection underlying VanEck’s passive strategies. Since our founding in 1955, putting our clients’ interests first, in all market environments, has been at the heart of the firm’s mission.