Profil
Mr. David C.
Brown is the Chief Operating Officer at Marathon Asset Management LLP.
He is responsible for all operating areas, including finance, investment administration, performance analysis and IT.
He is one of Marathon's three-person management committee tasked with many of the day-to-day management decisions.
He joined Marathon in 1989 as a Financial Controller from Spicer & Oppenheim.
He was became Marathon's Chief Operating Officer in 1994.
Mr. Brown graduated with a Bachelor of Science (Hons) degree in Chemistry from Southampton University in 1984.
He qualified as a Chartered Accountant at Spicer & Oppenheim.
Anciens postes connus de David C. Brown
| Sociétés | Poste | Fin |
|---|---|---|
Marathon Asset Management LLP
Marathon Asset Management LLP Investment ManagersFinance Nesna is an active, long-term investor which integrates sustainability to their investment decision-making process. Their investment objective for client portfolios is to exceed the performance of a defined benchmark, typically a representative index of the countries where it invests. The firm’s investment philosophy guides a focused team of individually accountable portfolio managers who apply the capital cycle approach to seek investment opportunities across the market. Given the contrarian and long-term nature of the capital cycle, the philosophy often results in portfolios that differ from the benchmark, and average holding periods of five years or more for the securities in the portfolio. Nesna employs a bottom-up approach to select stock, evaluating sectors and companies, complemented by country. Their portfolios are very well diversified in terms of geography, sector and most importantly, individual stock risk. | Directeur des opérations | 01/08/2012 |
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| Entreprise privées | 1 |
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Marathon Asset Management LLP
Marathon Asset Management LLP Investment ManagersFinance Nesna is an active, long-term investor which integrates sustainability to their investment decision-making process. Their investment objective for client portfolios is to exceed the performance of a defined benchmark, typically a representative index of the countries where it invests. The firm’s investment philosophy guides a focused team of individually accountable portfolio managers who apply the capital cycle approach to seek investment opportunities across the market. Given the contrarian and long-term nature of the capital cycle, the philosophy often results in portfolios that differ from the benchmark, and average holding periods of five years or more for the securities in the portfolio. Nesna employs a bottom-up approach to select stock, evaluating sectors and companies, complemented by country. Their portfolios are very well diversified in terms of geography, sector and most importantly, individual stock risk. | Finance |
















