Profil
Mr. Adrian M.
Darley is a Fund Manager at Legal & General Investment Management Ltd.
He joined LGIM following the acquisition of Aerion Fund Management, where he was a member of the Executive Committee and led the investment team.
Prior to this, he spent the majority of his career, spanning 25 years, at Gartmore and Ignis.
During this time, he mainly focused on European Equities, both long-only and
long-short, as well as small and large cap portfolios.
He started his career at County Nat West in 1989.
He has a Bachelor's degree in Economics and Politics, with joint honors, from Durham University.
Anciens postes connus de Adrian Malcolm Darley
| Sociétés | Poste | Fin |
|---|---|---|
Legal & General Investment Management Ltd.
Legal & General Investment Management Ltd. Investment ManagersFinance LGIM is a risk-averse, long-term manager which leverages the research capabilities of the L&G group and follows both active and passive investment approaches to manage a range of investment products including equity index and global fixed-income strategies. They refer to their passive strategies as 'intelligent indexing’. The firm invests globally across major asset classes and actively exercises voting rights. They manage a range of specialist hedge funds invested in UK small-caps, Japanese equity and global high-yield credit. | Gestionnaire de Portefeuille-Actions | 01/01/2017 |
Legal & General (Caerus) Ltd.
Legal & General (Caerus) Ltd. Investment ManagersFinance Aerion is a GARP-oriented manager which utilizes a combination of fundamental analysis and quantitative techniques to manage a balanced, diversified fund to provide long-term growth and to meet pension payments as they fall due. They share market knowledge and sector expertise to provide top-down and bottom-up analysis for asset allocation and investment decisions. The firm invests in domestic equities, international equities, corporate bond, government bonds, index-linked bonds, and credit. They regularly meet with company management as part of their equity and corporate bond investment management. They use risk analysis models to construct portfolios and monitor risk. Fund managers oversee diversified portfolios of UK equities, international equities, corporate bonds, government bonds, index-linked bonds and credit. | Head-Equity Investments | 17/02/2016 |
Resolution Asset Management Ltd.
Resolution Asset Management Ltd. Investment ManagersFinance RAM is an active, team-based manager which believes that their fund managers should manage with conviction and focus on outperformance. The firm's teams are organized as a series of boutiques, both in their core business and their joint ventures. There are separate teams for each of their core business areas, each led by a Chief Investment Officer. Teams devise the strategy and process which best suits their particular asset class at any given time. The firm's team members cover different sectors within each asset class, allowing individuals to become specialists. The roles of investment manager and analyst are combined, allowing them to fully understand the stocks in which they invest. Information is shared among teams, through RAM's mentoring system, regular meetings and global sector analysis. Each asset class has its own distinct investment approach. Risk controls are integral to the firm's investment process. Their Risk Management team works closely with the investment team to ensure that managers are aware of the risk they are taking when they move overweight or underweight in any particular stock, sector or country. In addition, the executive board meets heads of desks each month to review fund performance. The firm's buddy investment manager provides additional risk control by questioning existing views and their compliance team also monitors and supervises the investment team. | Gestionnaire de Portefeuille-Actions | 01/11/2008 |
Gartmore Investment Ltd.
Gartmore Investment Ltd. Investment ManagersFinance Provides investment management and advisory services to businesses, institutions, and private investors | Gestionnaire de Portefeuille-Actions | 12/04/2006 |
Ignis Investment Services Ltd.
Ignis Investment Services Ltd. Investment ManagersFinance IIS is an active, research and conviction-based manager that employs an investment philosophy called Focus on Change, which aims to capture anomalies and inefficiencies between consensus and non-consensus analysis of companies. The firm seeks to consistently add value through their equity portfolios, following a bottom-up approach to construct portfolios comprised of opportunities with real potential. For fixed-income, IIS offers segregated and pooled vehicles across a range of fixed-income sub-sectors and geographies through investment grade corporate bonds, high yield corporate bonds, government bonds, emerging market debt, inflation-linked bonds and absolute return bond strategies. | Head-Equity Investments | 01/08/2014 |
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
Relations
Relations au 1er degré
Entreprises liées au 1er degré
Homme
Femme
Administrateurs
Exécutifs
Sociétés liées
| Entreprise privées | 5 |
|---|---|
Gartmore Investment Ltd.
Gartmore Investment Ltd. Investment ManagersFinance Provides investment management and advisory services to businesses, institutions, and private investors | Finance |
Legal & General (Caerus) Ltd.
Legal & General (Caerus) Ltd. Investment ManagersFinance Aerion is a GARP-oriented manager which utilizes a combination of fundamental analysis and quantitative techniques to manage a balanced, diversified fund to provide long-term growth and to meet pension payments as they fall due. They share market knowledge and sector expertise to provide top-down and bottom-up analysis for asset allocation and investment decisions. The firm invests in domestic equities, international equities, corporate bond, government bonds, index-linked bonds, and credit. They regularly meet with company management as part of their equity and corporate bond investment management. They use risk analysis models to construct portfolios and monitor risk. Fund managers oversee diversified portfolios of UK equities, international equities, corporate bonds, government bonds, index-linked bonds and credit. | Finance |
Legal & General Investment Management Ltd.
Legal & General Investment Management Ltd. Investment ManagersFinance LGIM is a risk-averse, long-term manager which leverages the research capabilities of the L&G group and follows both active and passive investment approaches to manage a range of investment products including equity index and global fixed-income strategies. They refer to their passive strategies as 'intelligent indexing’. The firm invests globally across major asset classes and actively exercises voting rights. They manage a range of specialist hedge funds invested in UK small-caps, Japanese equity and global high-yield credit. | Finance |
Resolution Asset Management Ltd.
Resolution Asset Management Ltd. Investment ManagersFinance RAM is an active, team-based manager which believes that their fund managers should manage with conviction and focus on outperformance. The firm's teams are organized as a series of boutiques, both in their core business and their joint ventures. There are separate teams for each of their core business areas, each led by a Chief Investment Officer. Teams devise the strategy and process which best suits their particular asset class at any given time. The firm's team members cover different sectors within each asset class, allowing individuals to become specialists. The roles of investment manager and analyst are combined, allowing them to fully understand the stocks in which they invest. Information is shared among teams, through RAM's mentoring system, regular meetings and global sector analysis. Each asset class has its own distinct investment approach. Risk controls are integral to the firm's investment process. Their Risk Management team works closely with the investment team to ensure that managers are aware of the risk they are taking when they move overweight or underweight in any particular stock, sector or country. In addition, the executive board meets heads of desks each month to review fund performance. The firm's buddy investment manager provides additional risk control by questioning existing views and their compliance team also monitors and supervises the investment team. | Finance |
Ignis Investment Services Ltd.
Ignis Investment Services Ltd. Investment ManagersFinance IIS is an active, research and conviction-based manager that employs an investment philosophy called Focus on Change, which aims to capture anomalies and inefficiencies between consensus and non-consensus analysis of companies. The firm seeks to consistently add value through their equity portfolios, following a bottom-up approach to construct portfolios comprised of opportunities with real potential. For fixed-income, IIS offers segregated and pooled vehicles across a range of fixed-income sub-sectors and geographies through investment grade corporate bonds, high yield corporate bonds, government bonds, emerging market debt, inflation-linked bonds and absolute return bond strategies. | Finance |
















