Profilo
Mr. Piers Watson is a Portfolio Manager & Investment Risk Manager at Five Oceans Asset Management Ltd.
Mr. Watson has over 15 years' experience in the investment industry, predominantly in Edinburgh.
He spent eight years as a fund manager with Edinburgh Fund Managers PLC covering UK and US equity markets.
In 2001, he became a founding partner of Ailsa Capital Management LLP, a US equity long/short investment management boutique company.
This business was ultimately acquired by Collins Stewart Limited, Edinburgh where he managed a US equity portfolio until he moved to Australia.
Mr. Watson has a Master of Science in Investment Analysis from the University of Stirling and a Bachelor of Arts (Honours) from Nottingham Trent University.
Mr. Watson is an Associate of the UK Society of Investment Professionals, a member of the UK Society of Technical Analysts and has achieved the Chartered Financial Analyst (CFA), Financial Risk Manager (FRM) and Certificate in Quantitative Finance (CQF) designations.
Precedenti posizioni note di Piers Watson
| Società | Posizione | Fine |
|---|---|---|
Five Oceans Asset Management Ltd.
Five Oceans Asset Management Ltd. Investment ManagersFinance FOAM is an active, long-term manager which aims to deliver consistently strong investment performance in a socially responsible manner. They utilize a bottom-up investment approach, investing only in companies they have strategically and thoroughly researched. Their geographic focus is on the Asia-Pacific region. The firm specializes in a concentrated, non-index approach to developing portfolios of global listed companies. They believe that investment opportunities are driven by change and also that corporate sustainability issues such as environmental, social and corporate governance should be incorporated into fundamental equity research. | Gestore di Portafoglio-Azioni | 22/07/2014 |
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| Aziende private | 1 |
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Five Oceans Asset Management Ltd.
Five Oceans Asset Management Ltd. Investment ManagersFinance FOAM is an active, long-term manager which aims to deliver consistently strong investment performance in a socially responsible manner. They utilize a bottom-up investment approach, investing only in companies they have strategically and thoroughly researched. Their geographic focus is on the Asia-Pacific region. The firm specializes in a concentrated, non-index approach to developing portfolios of global listed companies. They believe that investment opportunities are driven by change and also that corporate sustainability issues such as environmental, social and corporate governance should be incorporated into fundamental equity research. | Finance |
















