Crispin James Hartley Cripwell
Fortune : 141 167 $ au 28/02/2026
Fortune : 141 167 $ au 28/02/2026
Mr. Crispin J.
Cripwell is Investment Director at Towry Asset Management Ltd.
He was previously employed as Senior Portfolio Manager by Baring Asset Management Ltd. He also served on the board at Ashcourt Asset Management Ltd. Mr. Cripwell manages portfolios for high net worth individuals, charities and trusts.
His clients include lawyers, entrepreneurs, landed estates, City professionals, divorcees, accountants and wealthy families.
They span up to three generations.
Preservation of capital is typically the priority, with growth and income targeted according to needs.
This is achieved via direct equities, funds, fixed income and alternative investments.
He joined Towry (previously Ashcourt Rowan) in 2008, having spent 15 years managing multi-billion pound portfolios in the City for some of the UK's largest fund managers.
He ran the US equity teams for Aviva, Rothschild and HBOS, before becoming director of Global Equities for Barings.
He has a BA in Business Studies, with 1st class honors, from Oxford Brookes University.
| Société | Date | Nombre d'actions | Valorisation | Date de valorisation |
|---|---|---|---|---|
Walker Crips Group Plc
Walker Crips Group Plc Investment ManagersFinance Provides manages investment and integrated financial services 1,83% | 24/11/2025 | 777 777 ( 1,83% ) | 141 167 $ | 28/02/2026 |
| Sociétés | Poste | Fin |
|---|---|---|
Tilney Asset Management Services Ltd.
Tilney Asset Management Services Ltd. Investment ManagersFinance Tilney AM’s philosophy is underpinned by a disciplined and rigorous investment process that is consistent across their whole business, feeding into their discretionary and advisory client portfolios and their range of managed funds. Their investment philosophy consists of four principles including preserve wealth, grow capital, look at real returns, and invest for the long-term. | Director of Investments | 01/11/2016 |
Ashcourt Asset Management Ltd.
Ashcourt Asset Management Ltd. AAM is an active, risk-aware manager which aims to outperform chosen benchmarks. They invest in a wide range of different securities without regard to any particular index, seeking to invest in good quality companies and concentrating on absolute and relative value, which they aim to exploit by switching between cash and market instruments such as equities and bonds. The firm employs macroeconomic procedures and fundamental analysis to select the most appropriate investment strategy. The firm uses technical overlay to enhance entry and exit points, resist market volatility and control risk. Their overall approach to investing is based upon managing portfolio returns as a consequence of managing portfolio risk, adding value by determining and actively managing the appropriate risk and return strategies and performing in-house research in order to reach an independent view. | Gestionnaire de Portefeuille-Actions | 22/01/2010 |
Baring Asset Management Ltd.
Baring Asset Management Ltd. Investment ManagersFinance Barings UK focuses on building long-term, trusted partnerships with their clients and utilizes an active management approach, built upon fundamental analysis, to help meet their long-term investment goals. The firm leverages its depth and breadth of expertise across the global fixed income, alternative investment and equity markets. Their expansive asset market coverage, includes global fixed income presence and high active equity expertise in international and emerging markets, contributes to the firm’s strength in multi-asset investing. This encompasses solutions such as income, target return and absolute return. | Gestionnaire de Portefeuille-Actions | - |
Actives
Inactives
Sociétés cotées
Entreprise privées
Relations au 1er degré
Entreprises liées au 1er degré
Homme
Femme
Administrateurs
Exécutifs
| Entreprise privées | 3 |
|---|---|
Baring Asset Management Ltd.
Baring Asset Management Ltd. Investment ManagersFinance Barings UK focuses on building long-term, trusted partnerships with their clients and utilizes an active management approach, built upon fundamental analysis, to help meet their long-term investment goals. The firm leverages its depth and breadth of expertise across the global fixed income, alternative investment and equity markets. Their expansive asset market coverage, includes global fixed income presence and high active equity expertise in international and emerging markets, contributes to the firm’s strength in multi-asset investing. This encompasses solutions such as income, target return and absolute return. | Finance |
Ashcourt Asset Management Ltd.
Ashcourt Asset Management Ltd. AAM is an active, risk-aware manager which aims to outperform chosen benchmarks. They invest in a wide range of different securities without regard to any particular index, seeking to invest in good quality companies and concentrating on absolute and relative value, which they aim to exploit by switching between cash and market instruments such as equities and bonds. The firm employs macroeconomic procedures and fundamental analysis to select the most appropriate investment strategy. The firm uses technical overlay to enhance entry and exit points, resist market volatility and control risk. Their overall approach to investing is based upon managing portfolio returns as a consequence of managing portfolio risk, adding value by determining and actively managing the appropriate risk and return strategies and performing in-house research in order to reach an independent view. | |
Tilney Asset Management Services Ltd.
Tilney Asset Management Services Ltd. Investment ManagersFinance Tilney AM’s philosophy is underpinned by a disciplined and rigorous investment process that is consistent across their whole business, feeding into their discretionary and advisory client portfolios and their range of managed funds. Their investment philosophy consists of four principles including preserve wealth, grow capital, look at real returns, and invest for the long-term. | Finance |
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