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名稱 | 主旨 | 成立於 | 直至 |
---|---|---|---|
Joanna Nash | Portfolio Manager | 2018 | now |
自傳 | Joanna joined Acadian Asset Management Australia in 2018. She is a member of the Portfolio Management Team, focusing on Acadian’s Australian equity strategies. Prior to joining Acadian, Joanna was a member of the Scientific Active Equities team at Blackrock/BGI. She was responsible for both active and index funds as well as new signal generation research for the Australian Model. She also served as the representative for the global sustainable investment platform for BlackRock for the Australia/NZ region. Joanna holds a Ph.D. in economics from Yale University, as well as a Master of Philosophy and a Master of Arts, both in economics, also from Yale where she was a Fulbright Scholar. She earned a Bachelor or Economics (Honours) as well as a Bachelor of Laws from the University of New South Wales in Sydney. Joanna is a CFA charterholder. | ||
Katrina Khoupongsy | Portfolio Manager | 2009 | now |
自傳 | Katrina joined Acadian Asset Management Australia in 2009. She is a member of the Portfolio Management Team, focusing on Australian equity strategies. Prior to joining Acadian, Katrina was a senior quantitative analyst at ING. Previous to that, she held various quantitative roles at IFS Equities, BT Funds Management, Country Investment Management, and Mercantile Mutual Investment Management. Katrina holds a Graduate Diploma in applied finance and investments from Securities Institute of Australia and a Bachelor’s in mathematics and finance (Hons) from University of Technology, Sydney. Katrina is a CFA charterholder. | ||
Suhail Mehra | - | 2016 | 2018 |
自傳 | •joined in March 2016 •experience in portfolio management, factor research, portfolio construction and tax-effective strategies •responsible for portfolio management, research and implementation •previously Portfolio Manager at Macquarie Asset Management •prior roles at Citigroup, Morningstar •B Comm, M Comm(Finance), CFA Charterholder | ||
David Walsh | - | 2013 | 2017 |
自傳 | •Head of Acadian Australia’s investment team. Responsible for Acadian investment process including research, portfolio construction and trading. •a member of Acadian LLC’s Investment Policy Committee •formerly with Baseline Capital, quantitative investment management consulting firm which he founded. •previously Managing Director and Senior Portfolio Manager for Australian Equity Quantitative Team at BGI/BlackRock and Head of Equities Research, Australia for State Street Global Advisors •B.Eng, MBus, PhD (Finance) | ||
Matthew Picone | - | 2007 | 2016 |
自傳 | Matthew joined Acadian Asset Management (Australia) Limited in 2007. He is a member of the Portfolio Management Team, focusing on Environmental, Social, and Governance (ESG) implementation. Matthew has been a key driver of ESG research and implementation at Acadian for a number of years and is a senior member of Acadian's Responsible Investing Committee. He has been a member of ESG Research Australia since its inception and sits on the PRI Australian Advisory Committee. Prior to joining Acadian, Matthew worked as an investment analyst focusing on renewables within the Global Resources team at Colonial First State Global Asset Management. He has also held roles at CFS Firstchoice and Commonwealth Bank Institutional Banking (Natural Resources). Matthew is a CFA charterholder. | ||
Jerome Blair | - | 2008 | 2016 |
自傳 | Jerome joined Acadian Australia in February 2008. Prior to this, Jerome worked for over three years at MIR Investment Management in roles involving quantitative stock selection research and portfolio management. Before this he worked for BGI as quantitative research analyst in Australian Equities. Prior to this he worked in the broking division of Deutsche Bank focussing on quantitative analysis for Australian Equities in the areas of proprietary derivatives trading, structured products and real-time trading systems design. He has over fifteen years experience in the financial industry. Education: PhD (Maths) Sydney, B.A (Maths & Comp Sci) Sydney | ||
Craig Brescianini | - | 2006 | 2013 |
自傳 | Craig joined Acadian Australia in January 2006 as Research Analyst. He works closely with the research team in Boston to identify and evaluate potential improvements to the Australian component of the forecasting framework. Prior to joining Acadian, Craig was a Senior Analyst for Jones Lang LaSalle. Education: B. Engineering, University of Queensland; Ph.D., Aerospace/Mechanical Engineering, University of Queensland; Graduate Diploma., Applied Finance and Investment, SIA. |
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