Index Committee

Jeffrey R. ThompsonPresident and Chief Executive Officer

Jeff is President and Chief Executive Officer of W.E. Donoghue & Co., LLC. He is a principal, corporate officer as well as a member of W.E. Donoghue & Co., LLC's Investment Policy Committee. As part of Jeff's responsibilities on the investment committee he leads in the design and maintenance of the technical asset allocation models applied to the high yield asset class and equity rotation strategies. In addition, he has been instrumental in collaborating with Standard and Poor’s and S-Network in the design of the custom indices being offered by WEDCO for which the investment portfolios are predicated upon. He is also a co-portfolio manager to the Power Income Fund, Power Dividend Index Fund and Power Momentum Index Fund, of which W. E. Donoghue & Co. LLC is the advisor.

Jeff had worked as an Account Executive for national and super regional firms Lehman Brothers, Gruntal & Co., and Cowen & Co. from 1992-1996. There he worked with individual investors, as well as institutional investors, recommending and trading individual securities. Further, BTS Asset Management employed Jeff from 1996-1998 as a Regional Vice President providing investment advisory services to institutional clients.

William B. DowlerTreasurer and Chief Compliance Officer

Bill is Treasurer and Chief Compliance Officer of W.E. Donoghue & Co., LLC. He is a principal, corporate officer as well as a member of W.E. Donoghue & Co., LLC's Investment Policy Committee. As part of Bill's responsibilities on the investment committee he is involved in the design and maintenance of the technical asset allocation models applied to the high yield asset class and equity rotation strategies. He is also a co-portfolio manager to the Power Income Fund, Power Dividend Index Fund and Power Momentum Index Fund, of which W. E. Donoghue & Co. LLC is the advisor.

Previously, William had worked as an Investment Professional with independent and national firms, such as Argentus Securities, LLC, Advisory Group Equity Services, Jefferson Pilot Securities, and Franklin Securities. There he worked with individual and institutional investors, recommending and trading individual securities, developing portfolios of mutual funds using Modern Portfolio Theory, Risk assessment and reduction strategies, Qualified Plan design and implementation and Financial Planning. Bill has held Series 6, 65 and 7 licenses, as well as Life, Accident and Health Insurance Brokerage Licenses.

Prior to working as an independent investment advisor, Bill was Vice President of W. E. Donoghue & Co., LLC. He was a corporate officer and a member of W. E. Donoghue & Co., LLC.'s Investment Policy Committee. In addition to managing client assets for the firm, he was responsible for investment research including designing the proprietary technical indicators utilized in the sector rotation models, trading, performance reporting and client relationships. Formerly, Bill was an assistant manager of mutual fund operations with State Street Bank and Trust, Co.

Richard E. MolariChief Operating Officer

Rick is the Chief Operating Officer of W.E. Donoghue & Co. LLC. He is a principal, corporate officer as well as a member of W.E. Donoghue & Co., LLC's Investment Policy Committee. As part of Rick's responsibilities on the investment committee he is involved in the design and maintenance of the technical asset allocation models applied to the high yield asset class and equity rotation strategies. He is also a co-portfolio manager to the Power Income Fund, Power Dividend Index Fund and Power Momentum Index Fund, of which W. E. Donoghue & Co. LLC is the advisor.

Rick is an accomplished investment management operations and global trading specialist with over fifteen years of industry experience. He has extensive knowledge of international equity, fixed income and currency markets as well as back and middle office operations, portfolio accounting and compliance regulations. Rick joined W.E. Donoghue & Co., LLC in 2014 to manage the trading and operations team.

Prior to his current role, Rick spent nine years at a multi-billion dollar Boston based global hedge fund, trading international equities and managing trade operations. He started his professional career in fund accounting and back office administration with State Street Global Advisors and later BISYS Hedge Fund Services Inc. Rick holds a dual Bachelor's of Science degree from Northeastern University in Finance and Entrepreneurship. He is currently an active member of the CFA Institute, the Boston Security Analysts Society and the Boston Securities Traders Association.