Broker Check

Leaving Site Disclaimer

PLEASE NOTE: The information being provided is strictly as a courtesy. When you link to any of the web sites provided here, you are leaving this site. We make no representation as to the completeness or accuracy of information provided at these sites. Nor is the company liable for any direct or indirect technical or system issues or any consequences arising out of your access to or your use of third-party technologies, sites, information and programs made available through this site. When you access one of these sites, you are leaving our web site and assume total responsibility and risk for your use of the sites you are linking to. Information and opinions on this site provided by third parties have been obtained from sources believed to be reliable, but accuracy and completeness cannot be guaranteed. It is given for informational purposes only and is not a solicitation to buy or sell the securities mentioned. The information is not intended to be used as the primary basis for investment decisions, nor should it be considered as advice of professionals, as appropriate, regarding the evaluation of any specific information, opinion, advice or other content.

Click here to proceed

Paul G. Liebezeit, CFP®

Practice Leader: Investment Services

With over 22 years of industry experience, Mr. Liebezeit works with High and Ultra High net worth investors, as well as institutional investors among public and private organizations. Mr. Liebezeit manages portfolios within the Fixed Income and Equity markets. As Managing Partner and Portfolio Manager, he directs investment methodology with a prudent combination of quantitative metrics, value investing principles, and economic inputs.

Prior to founding Centurion Asset Management, Mr. Liebezeit was a Portfolio Manager and Financial Advisor at Morgan Stanley & Company, Inc. He began his career at First Investors Corporation in 1994 as a registered representative and supervising manager in their Philadelphia office. Mr. Liebezeit holds a degree in Economics from The Ohio State University, and holds a certificate in Risk and Investment Management from Yale University’s School of Management (SOM) and the EDHEC Risk Institute. He is a Series 6, 7, 24, 31, 63, and 66 licensed FINRA advisor in addition to being certified as a Registered Investment Advisor (RIA) with the Securities and Exchange Commission (SEC).

Unbiased Perspective

Sign up for our E-Newsletter to Receive Information Important to You