Mark Pollard
Patrimonio netto: 404 223 $ in data 31/05/2026
Patrimonio netto: 404 223 $ in data 31/05/2026
Mark D.
Pollard worked as a Non-Executive Director at Ceps Plc.
from 2016 to 2019.
He was also the Head-European Equities at Lazard Asset Management Ltd. He worked as a Portfolio Manager at Putnam Investments Ltd. from 2004 to 2006.
Additionally, he worked as a Portfolio Manager at Helvetica Wealth Management Partners AG and as a Managing Partner at Jura Capital Partners LLP.
| Società | Data | Numero di azioni | Valutazione | Data di valutazione |
|---|---|---|---|---|
CEPS PLC 3,28% | 17/04/2025 | 689.376 ( 3,28% ) | 404 223 $ | 31/05/2026 |
| Società | Posizione | Fine |
|---|---|---|
| CEPS PLC | Direttore/Membro del Consiglio | 29/03/2019 |
Helvetica Wealth Management Partners AG
Helvetica Wealth Management Partners AG Investment ManagersFinance Helvetica is a multi-strategy investment manager focused on risk analysis. The firm manages long-only and alternative strategies, both as directly invested portfolios and thru the selection of third-party managers. They invest across asset classes in equity, bonds, derivatives, alternative investments and private equity. They operate a proprietary risk management system and combine in-house asset allocation with outsourced service providers. Their investment approach is based on fundamental research with quantitative overlays. In particular, they have developed a proprietary fund manager selection process for their multi-manager products. Helvetica's products include long-only and cross-asset absolute return funds, multi-manager alternative investment funds, thematic and real estate funds. They also provide customized portfolio management services and corporate advisory services. | Gestore di Portafoglio-Azioni | 01/06/2010 |
Putnam Investments Ltd.
Putnam Investments Ltd. Investment ManagersFinance PIL offers professional, active investment management across a broad range of asset classes, including traditional long-only equity, fixed income, multi-asset income, alternative, and multi-asset class strategies. The firm’s research is focused on developing both a top-down view of broader market performance and a bottom-up outlook for individual securities. They rely significantly on research generated in-house which is tailored to the precise needs of their investment professionals. External research is also used - for example, to evaluate consensus views and to augment the research process. | Direttore degli Investimenti | 30/04/2006 |
Lazard Asset Management Ltd.
Lazard Asset Management Ltd. Investment ManagersFinance Lazard AM-UK is an active manager that manages across a wide range of global, regional and country-specific strategies - both traditional and alternative - in listed equity and fixed income. The firm follows a relative value investment philosophy and employs a bottom-up approach to seek higher-than-average returns which are undervalued. They construct portfolios based on in-house fundamental analysis performed by sector teams organized by industry. Their investment professionals integrate ESG analysis into their research and decision-making processes. | Corporate Officer/Principal | - |
Jura Capital Partners LLP | Corporate Officer/Principal | - |
Attive
Inattive
Società nel listino
Aziende private
Relazioni di 1° grado
Aziende connesse in 1º grado
Uomo
Donna
Amministratori
Dirigenti
| Aziende private | 5 |
|---|---|
Lazard Asset Management Ltd.
Lazard Asset Management Ltd. Investment ManagersFinance Lazard AM-UK is an active manager that manages across a wide range of global, regional and country-specific strategies - both traditional and alternative - in listed equity and fixed income. The firm follows a relative value investment philosophy and employs a bottom-up approach to seek higher-than-average returns which are undervalued. They construct portfolios based on in-house fundamental analysis performed by sector teams organized by industry. Their investment professionals integrate ESG analysis into their research and decision-making processes. | Finance |
Putnam Investments Ltd.
Putnam Investments Ltd. Investment ManagersFinance PIL offers professional, active investment management across a broad range of asset classes, including traditional long-only equity, fixed income, multi-asset income, alternative, and multi-asset class strategies. The firm’s research is focused on developing both a top-down view of broader market performance and a bottom-up outlook for individual securities. They rely significantly on research generated in-house which is tailored to the precise needs of their investment professionals. External research is also used - for example, to evaluate consensus views and to augment the research process. | Finance |
Ceps Plc.
Ceps Plc. Investment Banks/BrokersFinance Buys majority stakes in stable, profitable and steadily growing entrepreneurial companies | Finance |
Helvetica Wealth Management Partners AG
Helvetica Wealth Management Partners AG Investment ManagersFinance Helvetica is a multi-strategy investment manager focused on risk analysis. The firm manages long-only and alternative strategies, both as directly invested portfolios and thru the selection of third-party managers. They invest across asset classes in equity, bonds, derivatives, alternative investments and private equity. They operate a proprietary risk management system and combine in-house asset allocation with outsourced service providers. Their investment approach is based on fundamental research with quantitative overlays. In particular, they have developed a proprietary fund manager selection process for their multi-manager products. Helvetica's products include long-only and cross-asset absolute return funds, multi-manager alternative investment funds, thematic and real estate funds. They also provide customized portfolio management services and corporate advisory services. | Finance |
Jura Capital Partners LLP |
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