Founder and Chief Executive Officer
Mr. Rosenbach is a FINRA registered financial advisor with over 30 years of experience as a financial services professional.
Mr. Rosenbach began his career in public accounting at Bansley & Kiener, LLP (“B & K”), a full service public accounting and business advisory firm, in 1978. In 1984 Mr. Rosenbach joined Prudential Securities as a financial advisor, eventually specializing in asset allocation via closed-end funds. In 1997 Mr. Rosenbach joined UBS Financial Services, where he served as Vice President of Investments. In 2006 Mr. Rosenbach founded King Muir Fund Advisors, converting decades of closed-end fund experience and knowledge into a unique and successful investment strategy.
Mr. Rosenbach received a Bachelor of Science degree in Accounting and Economics from Regis University and holds a FINRA Series 65 license.
Chief Investment Officer
Mr. Lassandrello is primarily responsible for directing the firm’s investment policy, research, portfolio management, and trade execution.
Mr. Lassandrello has been with the firm since its inception in 2006. Mr. Lassandrello started part-time as an intern and became a partner of the firm in 2008. Mr. Lassandello was integral to the development and launch of the firm’s emerging markets fund in 2008 and the firm’s market neutral fund in 2009.
Mr. Lassandrello received a Bachelor of Science degree in Finance from Indiana University's Kelley School of Business and holds a FINRA Series 65 license.
Director - Product Management
Mr. Meyer is responsible for the firm’s product development, administration, and technology.
Prior to joining King Muir, Mr. Meyer was a Second Vice President of Northern Trust Asset Management’s Institutional Client Solutions Group, where he was responsible for driving strategic relationships with corporations, foundations, endowments and other institutional investors. Mr. Meyer started his career in Northern Trust’s corporate tax department, completing tax returns for various institutional entities.
Mr. Meyer received his Bachelor of Science in Finance from Illinois State University. He earned an IMCA Certified Investment Management Analyst certificate through The Wharton School - Aresty Institute of Executive Education and holds FINRA Series 7 and 63 licenses.