Nicholas Bozikis
Net worth: 1 M $ as of 2026-05-30
Net worth: 1 M $ as of 2026-05-30
Nicholas S.
Bozikis is currently Chief Executive Officer at Prepac Manufacturing Ltd. since 2023, Independent Director at Kits Eyecare Ltd. since 2019, Chief Financial Officer at TradeMango Solutions, Inc. since 2020, and Partner at Hardy Capital Corp.
Formerly, Mr. Bozikis was Chief Financial Officer, Secretary, Treasurer & Director at Shoes.com, Inc. from 2014 to 2016; Director at I.C.T.C.
Holdings Corp.
from 2005 to 2008; Vice President at AIG Global Investment Corp.
from 2016 to 2018; Chief Financial Officer at Coastal Contacts, Inc. from 2011 to 2014; Vice President at Aquilini Investment Group, Inc. from 2016 to 2018; and Chief Financial Officer at Lush Internet, Inc. from 2019 to 2020.
Education includes an undergraduate degree from British Institute of Technology Ltd. conferred in 1999.
| Company | Date | Number of shares | Valuation | Valuation date |
|---|---|---|---|---|
KITS EYECARE LTD. 0.36% | 2026-04-14 | 122,653 ( 0.36% ) | 1 M $ | 2026-05-30 |
| Companies | Position | Start |
|---|---|---|
| KITS EYECARE LTD. | Director/Board Member | 2019-10-15 |
Hardy Capital Corp
Hardy Capital Corp Investment ManagersFinance Hardy Capital invests in companies located across the globe with an EBITDA ranging from USD 5 - 100 million. The firm focuses on a broad range of sectors and industries. It participates in buyout capital transactions in the form of equity or debt with investment size ranging from USD 15 - 20 million. The firm takes a minority interest and controlling stake. | Private Equity Investor | - |
TradeMango Solutions, Inc.
TradeMango Solutions, Inc. Wholesale DistributorsDistribution Services Operates as a online furniture retailer | Director of Finance/CFO | 2020-05-31 |
Prepac Manufacturing Ltd.
Prepac Manufacturing Ltd. Home FurnishingsConsumer Durables Manufactures and distributes wooden home furniture and shelving racks | Chief Executive Officer | 2022-12-31 |
| Companies | Position | End |
|---|---|---|
Lush Internet, Inc.
Lush Internet, Inc. Medical DistributorsDistribution Services Retails cosmetics | Director of Finance/CFO | 2020-05-31 |
Aquilini Investment Group, Inc.
Aquilini Investment Group, Inc. Real Estate DevelopmentFinance Operates in real estate development, sports and entertainment and renewable energy sectors | Private Equity Investor | 2018-06-30 |
AIG Global Investment Corp.
AIG Global Investment Corp. Investment ManagersFinance AIG Global Investment Corp. invests globally in the public equity and fixed-income markets. They also invest in real estate and private equity. The firm's equity investment approach typically focuses on the growth and value stocks of small-cap, mid-cap and large-cap companies. Their fixed-income investments typically include investment grade bonds, government securities, municipal bonds, corporate bonds and security-backed fixed-income securities. The firm employs a combination of top-down fundamental research and quantitative analysis to select sectors and a security selection bottom-up process. AIGG's real estate investment approach utilizes an opportunistic, value-oriented strategy. In general, AIGG tends to invest globally in the stocks of mid-cap and large-cap companies in the finance, electronic technology, energy minerals, health technology and consumer non-durables sectors. The firm maintains a medium turnover rate. AIGG's equity investment process begins with a quantitative screening of the investment universe. They categorize each stock in the universe into the following broad growth categories: exceptional growth, established stable growth, cyclical growth and mature companies. After categorizing each stock, they conduct bottom-up fundamental analysis to rank and select securities. Their fundamental analysis for all categories is based on relative valuations and fundamental progression, which may differ based on the stage of a company's lifecycle. Investment ideas are generated from internal research analysis, extensive company visits and analysis of outside research. Local portfolio managers and analysts are responsible for ranking stocks and portfolio construction. AIGG's researchers utilize an Intranet-based knowledge-sharing tool that enables them to disseminate detailed research to all equity investment professionals involved in the decision-making process. Regional/sector analysts apply specific buy and sell criteria to companies within each of the four growth categories, adapting the analytical approach and the valuation metrics to the varying growth dynamics for each group of companies. Overall, AIGG's global equity team focuses on the potential of delivering growth in earnings per share. They analyze factors that contribute to the sustainability of growth, such as barriers to entry and profitability. In the search for these characteristics, they research companies growing through innovative products and services, as well as companies growing by gaining in relevance in mature markets. AIGG's global fixed-income team believes that the most efficient (risk-adjusted) method to add value to a global fixed-income portfolio is through duration management and country allocation while maintaining currency exposure relative to the benchmark close to neutral. They apply quantitative techniques to establish duration positions and country weights, which can be adjusted using qualitative inputs. Quantitative analysis focuses on capturing market trends to generate excess returns. AIGG uses a portfolio construction process with automatic monthly rebalancing of portfolios. The analytical and quantitative formulation of market views are kept separate from portfolio construction. Once the views have been established, model portfolios are automatically created. Actual portfolios are mapped as close as possible to the appropriate model portfolio. | Corporate Officer/Principal | 2017-12-31 |
Shoes.com, Inc.
Shoes.com, Inc. Apparel/Footwear RetailRetail Trade Retails footwear through online | Director of Finance/CFO | 2016-06-30 |
| COASTAL CONTACTS INC. | Director of Finance/CFO | 2013-12-31 |
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| Private companies | 11 |
|---|---|
AIG Global Investment Corp.
AIG Global Investment Corp. Investment ManagersFinance AIG Global Investment Corp. invests globally in the public equity and fixed-income markets. They also invest in real estate and private equity. The firm's equity investment approach typically focuses on the growth and value stocks of small-cap, mid-cap and large-cap companies. Their fixed-income investments typically include investment grade bonds, government securities, municipal bonds, corporate bonds and security-backed fixed-income securities. The firm employs a combination of top-down fundamental research and quantitative analysis to select sectors and a security selection bottom-up process. AIGG's real estate investment approach utilizes an opportunistic, value-oriented strategy. In general, AIGG tends to invest globally in the stocks of mid-cap and large-cap companies in the finance, electronic technology, energy minerals, health technology and consumer non-durables sectors. The firm maintains a medium turnover rate. AIGG's equity investment process begins with a quantitative screening of the investment universe. They categorize each stock in the universe into the following broad growth categories: exceptional growth, established stable growth, cyclical growth and mature companies. After categorizing each stock, they conduct bottom-up fundamental analysis to rank and select securities. Their fundamental analysis for all categories is based on relative valuations and fundamental progression, which may differ based on the stage of a company's lifecycle. Investment ideas are generated from internal research analysis, extensive company visits and analysis of outside research. Local portfolio managers and analysts are responsible for ranking stocks and portfolio construction. AIGG's researchers utilize an Intranet-based knowledge-sharing tool that enables them to disseminate detailed research to all equity investment professionals involved in the decision-making process. Regional/sector analysts apply specific buy and sell criteria to companies within each of the four growth categories, adapting the analytical approach and the valuation metrics to the varying growth dynamics for each group of companies. Overall, AIGG's global equity team focuses on the potential of delivering growth in earnings per share. They analyze factors that contribute to the sustainability of growth, such as barriers to entry and profitability. In the search for these characteristics, they research companies growing through innovative products and services, as well as companies growing by gaining in relevance in mature markets. AIGG's global fixed-income team believes that the most efficient (risk-adjusted) method to add value to a global fixed-income portfolio is through duration management and country allocation while maintaining currency exposure relative to the benchmark close to neutral. They apply quantitative techniques to establish duration positions and country weights, which can be adjusted using qualitative inputs. Quantitative analysis focuses on capturing market trends to generate excess returns. AIGG uses a portfolio construction process with automatic monthly rebalancing of portfolios. The analytical and quantitative formulation of market views are kept separate from portfolio construction. Once the views have been established, model portfolios are automatically created. Actual portfolios are mapped as close as possible to the appropriate model portfolio. | Finance |
Coastal Contacts, Inc.
Coastal Contacts, Inc. Catalog/Specialty DistributionRetail Trade Retails and distributes online vision care products | Retail Trade |
Shoes.com, Inc.
Shoes.com, Inc. Apparel/Footwear RetailRetail Trade Retails footwear through online | Retail Trade |
I.C.T.C. Holdings Corp.
I.C.T.C. Holdings Corp. Industrial SpecialtiesProcess Industries Manufactures and distributes paint equipment and products | Process Industries |
TradeMango Solutions, Inc.
TradeMango Solutions, Inc. Wholesale DistributorsDistribution Services Operates as a online furniture retailer | Distribution Services |
Aquilini Investment Group, Inc.
Aquilini Investment Group, Inc. Real Estate DevelopmentFinance Operates in real estate development, sports and entertainment and renewable energy sectors | Finance |
Prepac Manufacturing Ltd.
Prepac Manufacturing Ltd. Home FurnishingsConsumer Durables Manufactures and distributes wooden home furniture and shelving racks | Consumer Durables |
Hardy Capital Corp
Hardy Capital Corp Investment ManagersFinance Hardy Capital invests in companies located across the globe with an EBITDA ranging from USD 5 - 100 million. The firm focuses on a broad range of sectors and industries. It participates in buyout capital transactions in the form of equity or debt with investment size ranging from USD 15 - 20 million. The firm takes a minority interest and controlling stake. | Finance |
Lush Internet, Inc.
Lush Internet, Inc. Medical DistributorsDistribution Services Retails cosmetics | Distribution Services |
British Institute of Technology Ltd.
British Institute of Technology Ltd. Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Kits Eyecare Ltd.
Kits Eyecare Ltd. Internet RetailRetail Trade Sells sunglasses through online | Retail Trade |
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