Andrew Tuttle, CFA

Portfolio Manager

Andrew Tuttle has more than fifteen years investment experience in investment banking, distressed debt and equity research. Currently, he is a co-portfolio manager on the Crow Point Defined Risk Global Equity Income fund and the EAS Crow Point Alternatives fund. Previously, he was head of equity research at Crow Point. He has also worked at Cantor Fitzgerald, Jefferies & Co., Thomas Weisel Partners, and First Union National Bank. He is a graduate of Columbia University, where he received his MBA, and the College of William and Mary, where he received a Bachelor of Arts degree.


♦ MBA, Columbia University
♦ B.A., College of William and Mary


Tel: (781) 875-3185