Ben Cook, CFA
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24Years of Investing Experience
Ben serves as Portfolio Manager for the Hennessy Midstream Fund and the Hennessy Transition Fund which he has managed since 2017 and 2019 respectively.
Ben brings over 20 years of investing experience in the public and private oil and gas markets. Prior to joining Hennessy Funds, Ben was a Portfolio Manager and member of the Investment Committee with BP Capital Fund Advisors, LLC. Before joining BP Capital, Ben was a Portfolio Manager with Mariner Investment Group, A.G. Hill Partners, and Opsis Capital Management, as a Senior Analyst with Carlson Capital, and as an Equity Research Analyst with Raymond James.
Ben received a
BA in Economics from Johns Hopkins University and an MBA in Finance from the University of Texas at Austin. He is a CFA charterholder and member of the Chartered Financial Analyst Institute.Managed Funds
Fund Documents | Fund Facts | ||||
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Fund Name | Manager Commentary | Fact Sheet | MorningStar Fund Category | Inception Date | Worked on Fund Since |
Energy Transition Fund | Equity Energy | 12/31/13 | 2019 | ||
Midstream Fund | Energy Limited Partnership | 12/31/13 | 2017 |
Related Insights & News
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Investment Idea
Defining the Energy "Value Chain"
Ben Cook, CFAPortfolio ManagerEnergy is a large and complex sector. The sector’s broad sub-industries can be divided into a “value chain,” each segment of which has different characteristics and offers different investment opportunities.
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Schwab Network - "Impact Of Clean Options On Energy Sectors"
July 2024
Ben Cook, Portfolio Manager of the Hennessy Energy Transition Fund, believes natural gas is well positioned to meet the increasing demand for electric power, driven by the data centers providing AI computing power. Natural gas has done well year to date, and he believes there is more upside to come.
View MorePerformance data quoted represents past performance; past performance does not guarantee future results. The investment return and principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Current performance of the fund may be lower or higher than the performance quoted. Performance data current to the most recent month end, and standardized performance can be obtained by viewing the fact sheet.
Current and future holdings are subject to risk.
Glossary of Terms contains definitions and additional informationhere.
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