Profil
Mr. Mark A. Panter is an Analyst at Thames River Capital LLP.
He joined Thames River Capital in July 2009 as a European Equity Risk Manager / Analyst.
He was previously a Trader at CQS Global Services London for one year and a European Equity trader at Lehman Brothers for the three years prior to that.
He has also worked as a sales trader at both CAI Cheuvreux International and ABN Amro.
Mr. Panter attended West Kent College, Tonbridge, Kent in 1992.
He is also a qualified technical analyst and a member of the Society of Technical Analysts (STA).
Anciens postes connus de Mark Alan Panter
| Sociétés | Poste | Fin |
|---|---|---|
Thames River Capital LLP
Thames River Capital LLP Investment ManagersFinance TRC is an active manager which performs in-house research, aiming to achieve absolute returns. They aggregate large European companies to form a proprietary index into which stocks are categorized into unstable financials, stable financials, defensive, growth, TMT and cyclical style sectors. Stock selection is bottom-up (quantitative and qualitative) as well as top-down. TRC invests through their income funds in debt securities and currencies worldwide, seeking unrecognized value in liquid bonds and currency markets, using yield curve positioning and allocation strategies based on political and macroeconomic analysis, as well as financial and management scoring of companies. | Analyst-Equity | - |
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
Sociétés liées
| Entreprise privées | 1 |
|---|---|
Thames River Capital LLP
Thames River Capital LLP Investment ManagersFinance TRC is an active manager which performs in-house research, aiming to achieve absolute returns. They aggregate large European companies to form a proprietary index into which stocks are categorized into unstable financials, stable financials, defensive, growth, TMT and cyclical style sectors. Stock selection is bottom-up (quantitative and qualitative) as well as top-down. TRC invests through their income funds in debt securities and currencies worldwide, seeking unrecognized value in liquid bonds and currency markets, using yield curve positioning and allocation strategies based on political and macroeconomic analysis, as well as financial and management scoring of companies. | Finance |
















