Profil
Mr. Greig M.
Bryson is a Portfolio Manager at Amova Asset Management UK Ltd. He joined the firm in August 2014 and is a Portfolio Manager in the Global Equity team.
Before joining Amova Asset Management UK, Mr. Bryson was an Investment Director at SWIP, responsible for the management of European and UK mandates for both institutional and retail mandates.
He joined SWIP in November 2007, as part of the European Equity team.
He joined SWIP from Pioneer Investments in Dublin, where he worked as a Research Analyst.
Prior to joining Pioneer, he was an Investment Manager at SWIP, working as part of the European Equity team, managing institutional mandates.
He has an LL.B (Hons) from the University of Aberdeen.
Postes actifs de Greig Murray Bryson
| Sociétés | Poste | Début |
|---|---|---|
Nikko Asset Management Europe Ltd.
Nikko Asset Management Europe Ltd. Investment ManagersFinance Amova UK is an active manager that applies Amova Asset Management approach and positioning regarding the identification of climate related risks and opportunities over short, medium, or long-term periods in their investments. They utilize in-depth bottom-up research, active stewardship, and top-down scenario and temperature analysis. Amova UK identifies attractive companies through indepth bottom-up research, based on their own philosophy and approach. ESG factors are factored into this process, including climate change and the risks and opportunities they present for the company, providing additional considerations for investment decisions. | Gestionnaire de Portefeuille-Actions | 06/08/2014 |
Anciens postes connus de Greig Murray Bryson
| Sociétés | Poste | Fin |
|---|---|---|
abrdn Alternative Investments Ltd.
abrdn Alternative Investments Ltd. Investment ManagersFinance AAI is an active, research-driven manager which employs bottom-up asset analysis combined with a macroeconomic view to seek market mispricing opportunities and provide investors with superior returns. Their overall investment approach is anchored by their fundamental research and in-house expertise across asset classes including UK and international equities, real estate, bonds and cash. The firm typically adopts a long-term investment horizon when selecting equities, basing their investment decisions on in-house criteria and focusing on the firm's prospects over a five-year horizon. For government bonds, they utilize top-down analysis and a combination of bottom-up and macroeconomic research for corporate bonds. | Analyst-Equity | 01/06/2014 |
abrdn Alternative Investments Ltd.
abrdn Alternative Investments Ltd. Investment ManagersFinance AAI is an active, research-driven manager which employs bottom-up asset analysis combined with a macroeconomic view to seek market mispricing opportunities and provide investors with superior returns. Their overall investment approach is anchored by their fundamental research and in-house expertise across asset classes including UK and international equities, real estate, bonds and cash. The firm typically adopts a long-term investment horizon when selecting equities, basing their investment decisions on in-house criteria and focusing on the firm's prospects over a five-year horizon. For government bonds, they utilize top-down analysis and a combination of bottom-up and macroeconomic research for corporate bonds. | Gestionnaire de Portefeuille-Actions | 01/09/2004 |
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
Relations
Relations au 1er degré
Entreprises liées au 1er degré
Homme
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Sociétés liées
| Entreprise privées | 2 |
|---|---|
Nikko Asset Management Europe Ltd.
Nikko Asset Management Europe Ltd. Investment ManagersFinance Amova UK is an active manager that applies Amova Asset Management approach and positioning regarding the identification of climate related risks and opportunities over short, medium, or long-term periods in their investments. They utilize in-depth bottom-up research, active stewardship, and top-down scenario and temperature analysis. Amova UK identifies attractive companies through indepth bottom-up research, based on their own philosophy and approach. ESG factors are factored into this process, including climate change and the risks and opportunities they present for the company, providing additional considerations for investment decisions. | Finance |
abrdn Alternative Investments Ltd.
abrdn Alternative Investments Ltd. Investment ManagersFinance AAI is an active, research-driven manager which employs bottom-up asset analysis combined with a macroeconomic view to seek market mispricing opportunities and provide investors with superior returns. Their overall investment approach is anchored by their fundamental research and in-house expertise across asset classes including UK and international equities, real estate, bonds and cash. The firm typically adopts a long-term investment horizon when selecting equities, basing their investment decisions on in-house criteria and focusing on the firm's prospects over a five-year horizon. For government bonds, they utilize top-down analysis and a combination of bottom-up and macroeconomic research for corporate bonds. | Finance |
















