Profilo
Mr. David J.
Philpotts is a Portfolio Manager at Schroder Investment Management North America, Inc. He joined Schroders in London in 1996 as an Economist before moving to the Quantitative Equity Products (QEP) team in 1999, helping to build the team’s stock selection models.
He left Schroders between 2001 and 2003, to run a hedge fund at Quaestor Investment Management.
He then migrated to Australia where he re-joined Schroders in 2004, as Head of QEP Research.
His investment career commenced at the Bank of England in 1990 as an econometrician.
Mr. Philpotts holds a BSc (first class) and an MSc (distinction) in Economics from the University of Warwick.
Posizioni attive di David Philpotts
| Società | Posizione | Inizio |
|---|---|---|
Schroder Investment Management North America, Inc.
Schroder Investment Management North America, Inc. Investment ManagersFinance SIMNA manages assets for domestic and foreign clients in strategies focusing on US equity and US fixed income securities, including US tax-exempt securities. The firm also markets strategies focusing on non-US equity and fixed income securities, as well as multi asset, quantitative and alternative strategies. | Gestore di Portafoglio-Azioni | - |
Precedenti posizioni note di David Philpotts
| Società | Posizione | Fine |
|---|---|---|
Schroder Investment Management Australia Ltd.
Schroder Investment Management Australia Ltd. Investment ManagersFinance SIMAL uses in-house, proprietary research to develop their global investment approach. They believe that in-house global research translates into superior investment performance through disciplined portfolio construction. The firm focuses on internal analysis of markets and companies to identify optimal investment opportunities. Their areas of expertise include Australian equities, fixed-income, multi-asset, and global equities. | Direttore della Ricerca - Azioni | 01/04/2019 |
Schroder Investment Management Ltd.
Schroder Investment Management Ltd. Investment ManagersFinance SIM is an active investment manager that utilizes a contrarian investment approach supported by fundamental, in-house research, regular company visits and their group's global network. Research is shared worldwide within the parent group and is organized in specialist teams, with local specialists contributing their expertise to global sector teams. The firm also utilizes their proprietary software, the Global Research Investment Database, to integrate and distribute in-house and external research, assisting investment managers in portfolio construction. They manage risk through another proprietary tool called Portfolio Risk Investment Strategy Manager (PRISM). | Gestore di Portafoglio-Azioni | 01/01/2001 |
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| Aziende private | 3 |
|---|---|
Schroder Investment Management North America, Inc.
Schroder Investment Management North America, Inc. Investment ManagersFinance SIMNA manages assets for domestic and foreign clients in strategies focusing on US equity and US fixed income securities, including US tax-exempt securities. The firm also markets strategies focusing on non-US equity and fixed income securities, as well as multi asset, quantitative and alternative strategies. | Finance |
Schroder Investment Management Ltd.
Schroder Investment Management Ltd. Investment ManagersFinance SIM is an active investment manager that utilizes a contrarian investment approach supported by fundamental, in-house research, regular company visits and their group's global network. Research is shared worldwide within the parent group and is organized in specialist teams, with local specialists contributing their expertise to global sector teams. The firm also utilizes their proprietary software, the Global Research Investment Database, to integrate and distribute in-house and external research, assisting investment managers in portfolio construction. They manage risk through another proprietary tool called Portfolio Risk Investment Strategy Manager (PRISM). | Finance |
Schroder Investment Management Australia Ltd.
Schroder Investment Management Australia Ltd. Investment ManagersFinance SIMAL uses in-house, proprietary research to develop their global investment approach. They believe that in-house global research translates into superior investment performance through disciplined portfolio construction. The firm focuses on internal analysis of markets and companies to identify optimal investment opportunities. Their areas of expertise include Australian equities, fixed-income, multi-asset, and global equities. | Finance |
















