Gerald Risk
About Gerald Risk
Gerald Risk is an angel investor and entrepreneur based in San Francisco, California, with experience in technology and financial services. He serves as Vice Chairman of Asurion, the world's largest provider of technology protection services, partnering with top companies and brands to serve over 200 million customers globally. Prior to this role, he was Asurion's President from 2009 to 2013 and Chief Financial Officer for the preceding decade. He has also worked as an investment banker with Goldman, Sachs & Co. in San Francisco, Hong Kong, and New York, and has experience with Hambrecht and Quist and the private investment arm of Toronto Dominion Capital. He holds an MBA from Stanford University and a Bachelor's Degree in Commerce with honors from Queen's University in Canada. In addition to his role at Asurion, Gerald is an active investor and mentor of entrepreneurial leaders in both the for-profit and non-profit sectors. He serves on the Board of Directors of Carillon Assisted Living, HealthCPA, and QMC Telecom. He is also a Lecturer in entrepreneurship at Stanford's Graduate School of Business, where he teaches a variety of classes in entrepreneurship. His investment focus includes technology, financial services, telecommunications, real estate, healthcare, consumer electronics, media, e-commerce, logistics, education, energy, automotive, retail, hospitality, and food and beverage sectors. He has invested in companies such as Luxury Presence, DataFox, and Voro. His investment strategy spans various stages, including seed, early stage, Series A, Series B, growth, late stage, pre-IPO, buyout, turnaround, and distressed situations. Geographically, his investments have a broad focus, including the United States, Canada, United Kingdom, Germany, France, Australia, Japan, South Korea, India, China, Brazil, Mexico, South Africa, United Arab Emirates, Saudi Arabia, Russia, South Korea, Singapore, Malaysia, and Thailand. His portfolio reflects a diverse range of industries, demonstrating his versatile investment approach and commitment to supporting innovative companies across multiple sectors.
Investment Mandate
Asset Classes2
Geographical Focus
African markets1
Other stated markets18
Requirements
Strong management team, Scalable business model, Clear exit strategy, Innovative product or service, Competitive market positioning, Demonstrated market demand, Financial stability, Potential for high return on investment, Alignment with investor's expertise, Commitment to ethical business practices
Stated Portfolio3
As reported by the investor. We hold no profile for these companies, so they are printed as stated rather than linked.
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