Daniel Price is Chief Investment Officer and Portfolio Manager with Managed Portfolio Advisors®, a division of Natixis Advisors, L.P. He is responsible for implementing investment strategies and conducting due diligence on separate accounts, mutual funds and ETFs. He joined the firm in 2006 from Charles Schwab where he was director of the Managed Account Research Center. He has been in the financial services industry since 1997.

Prior to Natixis, Mr. Price managed a team of analysts and provided research and consultative sales support to independent advisors as director of Charles Schwab’s Managed Account Research Center. He also contributed to manager selection and removal decisions as a member of Schwab’s Managed Account Select Investment Committee. Prior to Schwab, Mr. Price analyzed mutual funds and developed asset allocation recommendations for 401(k)
participants at mPower, a web-based 401(k) advice provider, and held several positions at investment management firm Bailard Biehl & Kaiser.

Mr. Price received his BA in biology from Middlebury College and is FINRA Series 7 and 66 licensed. He holds both the Chartered Financial Analyst® and the Financial Risk Manager designations and is a member of the CFA Society of San Francisco.


CFA® and Chartered Financial Analyst® are registered trademarks owned by the CFA Institute.

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Funds Managed

NatixisSustainable Future 2015 Fund®

One of ten target date funds that pursue competitive returns aligned with ESG (Environmental, Social, Governance) principles.

  • $4.76 million Total Net Assets (as of 06/24/2019)
  • Target-Date 2015 Morningstar Category™

NatixisSustainable Future 2020 Fund®

One of ten target date funds that pursue competitive returns aligned with ESG (Environmental, Social, Governance) principles.

  • $4.87 million Total Net Assets (as of 06/24/2019)
  • Target-Date 2020 Morningstar Category™

NatixisSustainable Future 2025 Fund®

One of ten target date funds that pursue competitive returns aligned with ESG (Environmental, Social, Governance) principles.

  • $4.19 million Total Net Assets (as of 06/24/2019)
  • Target-Date 2025 Morningstar Category™

NatixisSustainable Future 2030 Fund®

One of ten target date funds that pursue competitive returns aligned with ESG (Environmental, Social, Governance) principles.

  • $3.50 million Total Net Assets (as of 06/24/2019)
  • Target-Date 2030 Morningstar Category™

NatixisSustainable Future 2035 Fund®

One of ten target date funds that pursue competitive returns aligned with ESG (Environmental, Social, Governance) principles.

  • $4.74 million Total Net Assets (as of 06/24/2019)
  • Target-Date 2035 Morningstar Category™

NatixisSustainable Future 2040 Fund®

One of ten target date funds that pursue competitive returns aligned with ESG (Environmental, Social, Governance) principles.

  • $3.75 million Total Net Assets (as of 06/24/2019)
  • Target-Date 2040 Morningstar Category™

NatixisSustainable Future 2045 Fund®

One of ten target date funds that pursue competitive returns aligned with ESG (Environmental, Social, Governance) principles.

  • $2.82 million Total Net Assets (as of 06/24/2019)
  • Target-Date 2045 Morningstar Category™

NatixisSustainable Future 2050 Fund®

One of ten target date funds that pursue competitive returns aligned with ESG (Environmental, Social, Governance) principles.

  • $3.17 million Total Net Assets (as of 06/24/2019)
  • Target-Date 2050 Morningstar Category™

NatixisSustainable Future 2055 Fund®

One of ten target date funds that pursue competitive returns aligned with ESG (Environmental, Social, Governance) principles.

  • $2.89 million Total Net Assets (as of 06/24/2019)
  • Target-Date 2055 Morningstar Category™

NatixisSustainable Future 2060 Fund®

One of ten target date funds that pursue competitive returns aligned with ESG (Environmental, Social, Governance) principles.

  • $2.72 million Total Net Assets (as of 06/24/2019)
  • Target-Date 2060+ Morningstar Category™