Profil
Mr. Antony P.
Gifford is a Fund Manager at Henderson Global Investors Ltd. He has over 19 years of industry experience with 12 years in US equities.
He joined Henderson in 2002 from Deutsche Asset Management, based in London, where he held the position of Fund Manager, US Equities.
Mr. Gifford worked at Fleming Investment Management in London, initially as an Analyst/Assistant Fund Manager, Japanese Equities, then as a Fund Manager firstly for Japan and then for US Equities, during which time he transferred to Fleming Asset Management USA, based in New York.
He holds an honors degree in Philosophy, Politics and Economics from Oxford University.
Anciens postes connus de Antony Patrick Carlyle Gifford
| Sociétés | Poste | Fin |
|---|---|---|
Janus Henderson Investors UK Ltd.
Janus Henderson Investors UK Ltd. Investment ManagersFinance JHI UK is an active, value-oriented manager which has core capabilities in global equities, European equities, global fixed-income, multi-asset and alternative investments. They focus on absolute returns, investing globally based on rigorous fundamental research and risk management. The firm believes that top-down economic factors are key drivers of markets and the performance of sectors within markets. Economic expectations are a key input to all equity, bond and currency return forecasts which determine their asset allocation policy. | Gestionnaire de Portefeuille-Actions | 30/04/2015 |
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| Entreprise privées | 1 |
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Janus Henderson Investors UK Ltd.
Janus Henderson Investors UK Ltd. Investment ManagersFinance JHI UK is an active, value-oriented manager which has core capabilities in global equities, European equities, global fixed-income, multi-asset and alternative investments. They focus on absolute returns, investing globally based on rigorous fundamental research and risk management. The firm believes that top-down economic factors are key drivers of markets and the performance of sectors within markets. Economic expectations are a key input to all equity, bond and currency return forecasts which determine their asset allocation policy. | Finance |
















