Gary joined Corbin in 2016 as Vice President and provides investor relations counsel to the firm’s clients in both strategic and financial areas. Bringing a creative and thoughtful approach to problem solving and actionable corporate financial communications, Gary helps companies execute unique approaches to investor messaging, company positioning and shareholder targeting.
Mr. Farber has over 20 years of experience as both a sell side analyst, as well as an equity research generalist on the buy side. As a sell-side specialist, Gary worked at Cowen, SunTrust Banks and CL King covering a variety of sectors including industrials and media and entertainment. On the buy-side, Gary was an equity research generalist focused on small- and mid-cap stocks at Rochdale Investment Management, a subsidiary of City National Bank.
As an analyst, Mr. Farber received Institutional Investor recognition and was ranked #2 by Thomson Reuters in earnings estimation accuracy for all U.S. securities firms in 2015 in the machinery sector.
He is highly experienced in developing investor marketing materials and analyzing management strategy, business models, and financial and industry trends. He also has extensive experience communicating with a diverse group of constituents including CEOs, CFOs, Boards, and key stakeholders in areas including earnings reports and disclosure, company restructurings, M&A activity, shareholder activism and security offerings.
Gary is a CPA with an MBA from UCLA and a BA in Accounting from Franklin & Marshall College. He also holds the Series 7, 63, 86 & 87 securities designations.