Peter G. Greig, CFA
34Years of Investing Experience
Peter is a Senior Vice President and Portfolio Manager with FCI Advisors, a sub-advisor to the Hennessy Equity and Income Fund, and has managed the fixed income portion of the Fund since 2007.
Peter joined FCI Advisors in 1989 as a Trader and Analyst and today chairs their Fixed Income Investment Committee.
Peter received a BS from the University of Kansas and an MBA from Indiana University, and he is a CFA charterholder and member of the Kansas City CFA Society and the Chartered Financial Analyst Institute.
|Fund Documents||Fund Facts|
|Fund Name||Manager Commentary||Fact Sheet||MorningStar Fund Category||Inception Date||Worked on Fund Since|
|Equity and Income Fund||Allocation--50% to 70% Equity||6/3/97||2007|
Related Insights & News
Equity and Income Opportunities in a Higher Interest Rate EnvironmentStephen M. Goddard, CFAPortfolio ManagerJonathan T. Moody, CFAPortfolio ManagerJ. Brian Campbell, CFAPortfolio ManagerMark E. DeVaul, CFA, CPAPortfolio ManagerSamuel D. Hutchings, CFAPortfolio ManagerGary B. Cloud, CFAPortfolio ManagerPeter G. Greig, CFAPortfolio Manager
In the following commentary, the Portfolio Managers of the Hennessy Equity and Income Fund (HEIFX/HEIIX) provide a recap of the equity market, discuss expectations for interest rates, and give insight into where they are finding high-quality securities.
Holding a Portfolio of High-Quality Equities and Bonds in a Volatile Market
The Portfolio Managers of the Hennessy Equity and Income Fund (HEIFX/HEIIX) discuss the equity and fixed income markets over the first half of 2022 and the attractiveness of high-quality securities in an environment of continued market volatility.Read the Commentary
A Supportive Environment for High-Quality Equities
Portfolio Managers of the Hennessy Equity and Income Fund discuss value-oriented stock leadership, recent additions to the portfolio, and their outlook for stocks. They also share their views on inflation, interest rates, and the market.Read the Commentary
Importance of High-Quality Equity and Fixed Income During COVID-19 Outbreak
The Portfolio Managers of the Hennessy Equity and Income Fund discuss the impact of coronavirus on the equity and fixed income markets, finding opportunities in the equity market, changes made to the Fund, and their long-term outlook for interest rates.Read the Commentary
Finding Value in the Equity and Fixed Income Markets
In the following commentary, the Portfolio Managers of the Hennessy Equity and Income Fund discuss the outlook for earnings growth, the disparity between value and growth stock performance, and their viewpoint on interest rates and the fixed income market.Read the Commentary