Profil
Mr. Gareth D.
Isaac, CFA, is a Head of Multi Sector Portfolio Management at Invesco Asset Management Ltd. He is the Chief Investment Officer, EMEA for Invesco Fixed income.
He is the senior IFI investor in EMEA with primary responsibility for leading the Global Macro team in London.
His brief also encompasses a wider investment and thought leadership role working closely with the Investment Grade Credit, High Yield and Emerging Markets teams and the Credit Analyst team.
He is a member of the IFI Investment Strategy Team (IST).
He joined Invesco in January 2017 from Schroders Investment Management where during his 5 years there established his credentials as a highly respected investor whilst leading the multi sector investment team.
His remit extended across portfolio management, where he led the multi-currency aggregate and unconstrained investment strategies.
His asset management and Fixed Income experience extends to almost 20 years, working for organizations such as Newton, AXA, Société Générale and GLG.
Postes actifs de Gareth Dafydd Paul Isaac
| Sociétés | Poste | Début |
|---|---|---|
Invesco Asset Management Ltd.
Invesco Asset Management Ltd. Investment ManagersFinance IAML constructs portfolios based on in-house research which aims to identify the investment opportunities most likely to provide the strongest long-term returns. The firm's UK equity team follows a self-described pragmatic approach with no style bias regarding sectors, stocks or market-cap. Their valuation-orientated approach focuses on absolute returns and risk, allowing the portfolio to capture opportunities over time. In addition to high alpha UK equity, the team also manages small-cap equity and benchmark-relative portfolios. IAML’s fixed-income team manages retail and institutional accounts, combining macro and bottom-up credit analysis to determine investment opportunities. | Directeur en chef des Investissements | 01/01/2017 |
Anciens postes connus de Gareth Dafydd Paul Isaac
| Sociétés | Poste | Fin |
|---|---|---|
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). | Portfolio Manager-Fixed Income | 26/08/2016 |
Man Group Investments Ltd.
Man Group Investments Ltd. Investment ManagersFinance MGI is an active, collaborative manager which aims to achieve consistent superior returns. They adhere to client-focused product development and customer service in both traditional and alternative asset management. The firm's fund managers express their individual investment styles and meet regularly with companies, brokers and consultants, analyzing quantitative models or completing their own proprietary research. They base investment decisions on fundamental research, tactical trading and a wide range of industry contacts and employ a rigorous risk management process. | Portfolio Manager-Fixed Income | 01/01/2011 |
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 | 3 |
|---|---|
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 |
Invesco Asset Management Ltd.
Invesco Asset Management Ltd. Investment ManagersFinance IAML constructs portfolios based on in-house research which aims to identify the investment opportunities most likely to provide the strongest long-term returns. The firm's UK equity team follows a self-described pragmatic approach with no style bias regarding sectors, stocks or market-cap. Their valuation-orientated approach focuses on absolute returns and risk, allowing the portfolio to capture opportunities over time. In addition to high alpha UK equity, the team also manages small-cap equity and benchmark-relative portfolios. IAML’s fixed-income team manages retail and institutional accounts, combining macro and bottom-up credit analysis to determine investment opportunities. | Finance |
Man Group Investments Ltd.
Man Group Investments Ltd. Investment ManagersFinance MGI is an active, collaborative manager which aims to achieve consistent superior returns. They adhere to client-focused product development and customer service in both traditional and alternative asset management. The firm's fund managers express their individual investment styles and meet regularly with companies, brokers and consultants, analyzing quantitative models or completing their own proprietary research. They base investment decisions on fundamental research, tactical trading and a wide range of industry contacts and employ a rigorous risk management process. | Finance |
















