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Our Team

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Doug Deibele
CEO and Founder

Doug Deibele D.M.D is Sunrise Capital Management LLC’s Chief Executive Officer and Chief Investment Strategist and founder. He is an investment adviser representative and manages the firm’s overall investment policy and asset management strategy. Doug’s specific areas of expertise include dynamic financial modeling, risk management, and the development of investment strategies that include managing concentrated equity positions for high net worth investors. He has also developed and implemented investment strategies and ongoing portfolio management across core investment grade bond portfolios for clients who want to maximize high income yield portfolio strategies and receive monthly income. 

Doug received his Bachelor of Science degree in pre dentistry from Oregon State University and then graduated from Oregon Health and Science University School of Dentistry with a Doctor of Dental Medicine (D.M.D.) degree. Doug owned and managed a multi doctor dental office for 14 years. He sold his dental practice in 1997 to follow his passion and devote his full time attention to security analysis and portfolio management.

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Mark Deibele     
Senior Security Analyst

As a securities analyst, Mark Deibele gathers and assesses securities data in publically traded stocks and bonds. He monitors industry and market trends for changes and investment opportunities, staying up to date with the latest industry news including company sales and mergers. Mark's outstanding analytical, financial modeling and independent thinking, with a keen interest in the stock market and initiative to generate ideas has contributed greatly to our firm's growth.  He leverages his passion and enthusiasm to learn in providing the highest quality support to our firm and clients.

 

 

 

 

 

                     Code of Ethics     /     Privacy Policy    

               Sunrise Capital Management LLC Disclosures:

“Sunrise Capital Management LLC is a registered investment adviser in the state of Washington. The adviser may not transact business in states where it is not appropriately registered or exempt from registration. Individualized responses to persons that involve either the effecting of transactions in securities or the rendering of personalized investment advice for compensation will not be made without registration or exemption.”

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