Mark Skocic

Mark Skocic

Gestore di Portafoglio-Azioni presso Kinetic Investment Partners Pty Ltd.

Profilo

Mr. Mark Skocic is a Portfolio Manager at Kinetic Investment Partners Pty Ltd.
He joined Kinetic in October 2015.
Mr. Skocic began his career in investment management in 1997, working for HSBC James Capel.
Before joining Kinetic, he gained broad equities experience as a Research Analyst (covering Consumer, Financials & Small Cap Sectors), worked as an Equity Strategist for five years and a Portfolio Manager for seven years.
Across his various roles as a Research Analyst and Strategist, he consistently achieved top rankings in key client surveys including three separate years as number 2 rated analyst in the Greenwich Survey, while as a Portfolio Manager (at Morgan Stanley Investment Management) the fund he co-managed consistently generated top quartile returns and in 2008 was the top performing fund in the Mercer Survey.
Prior to his investment career, he worked at KPMG where he specialized in Banking & Finance clients and gained tow-year’s experience working in the receivership following the 1991 recession.

Posizioni attive di Mark Skocic

SocietàPosizioneInizio
Gestore di Portafoglio-Azioni 01/10/2015
Tutte le posizioni attive di Mark Skocic

Precedenti posizioni note di Mark Skocic

SocietàPosizioneFine
Analyst-Equity 23/03/2009
Stratega di mercato 01/01/2007
Analyst-Equity 24/12/2001
Vedi nel dettaglio l'esperienza di Mark Skocic

Esperienze
Posizioni ricoperte

Attive

Inattive

Società quotate in Borsa

Aziende private

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Relazioni

5

Relazioni di 1° grado

4

Aziende connesse in 1º grado

Uomo

Donna

Amministratori

Dirigenti

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Società collegate

Aziende private4

Finance

Finance

Finance

Finance

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