Profil
Jonathan P.
Bolton currently works at Hanna Capital Corp., as Director from 2025.
Dr. Bolton also formerly worked at RCM Capital Management LLC, as Director from 2003 to 2005, TT International, as Portfolio Manager from 2005 to 2007, and Liontrust Investments Ltd., as Head of Asian Equities from 2011 to 2012.
Dr. Bolton received his doctorate degree from The University of Sheffield.
Postes actifs de Jonathan P. Bolton
| Sociétés | Poste | Début |
|---|---|---|
| HANNA CAPITAL CORP. | Directeur/Membre du Conseil | 19/09/2025 |
Anciens postes connus de Jonathan P. Bolton
| Sociétés | Poste | Fin |
|---|---|---|
Liontrust Investments Ltd.
Liontrust Investments Ltd. Investment ManagersFinance LIL’s investment process includes the objective, strategy, implementation and review. The firm’s fund management teams use distinct and rigorous investment process in managing their funds. They invest worldwide and manage generalist, diversified portfolios spread across various sectors, managed both on a global and regional basis. LIL’s investment team seeks to create value for shareholders over the medium- to long-term, utilizing a top-down approach for asset allocation and a bottom-up approach for selecting ordinary shares. They monitor performance against relevant indexes, but do not track any index. The firm is primarily an equity investor. | Head-Equity Investments | 01/07/2012 |
TT International
TT International Investment ManagersFinance TT is an active, conviction-based manager which follows an absolute return/high alpha strategy, seeking positive absolute returns for their hedge funds and aiming for excess returns above relevant benchmarks for their long-only products. The firm believes that markets are structurally inefficient because they insufficiently discount geopolitical and other macro factors and because persistent behavioral biases cause asset prices to diverge from underlying fair value. They also believe that optimal results come from extracting value and protecting capital through all means available, including country allocation, thematic plays, sector rotation, stock selection and currency management. TT believes that success in global markets depends on integrating informed top-down views with robust company analysis. They perform fundamental analysis to identify asset mispricing and select stock based on pragmatic thinking, being flexible on style and choose valuation tools and risk factors on a case by case basis. The firm's research platform is central to their success and peer debate drives their research expertise and idea generation. All their strategies benefit from their operational platform and robust risk management and individual decision-makers are accountable. Their comprehensive risk management approach is fully embedded into their investment process and includes an iterative process between portfolio managers and the Risk Management team to best understand and manage portfolio, liquidity and counterparty risk. TT constructs concentrated portfolios comprised of their best ideas, selling stocks when they reach their price targets, when the investment case has changed, or to make room for better ideas. | Gestionnaire de Portefeuille-Actions | 01/10/2007 |
RCM Capital Management LLC
RCM Capital Management LLC Investment ManagersFinance RCM Capital Management offers investment strategies that cover all market-caps and investment styles. The firm offers investment products that vary widely from regional and global strategies to multi-asset and structured products. They have particular expertise in: (1) regional/country equity strategies (2) global equity strategies (3) emerging markets equity strategies (4) thematic and sector strategies (5) alpha extension strategies (6) multi-asset absolute return strategies and (7) structured products. RCM's investment philosophy is based on proprietary sector-based fundamental research. Though not limited by sector, RCM tends to invest in the stocks of companies in the electronic technology, technology services and health technology sectors. The firm invests globally, across all market-caps. RCM maintains a medium turnover rate. | Corporate Officer/Principal | 13/01/2005 |
Formation de Jonathan P. Bolton
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
Relations
Relations au 1er degré
Entreprises liées au 1er degré
Homme
Femme
Administrateurs
Exécutifs
Sociétés liées
| Entreprise privées | 5 |
|---|---|
RCM Capital Management LLC
RCM Capital Management LLC Investment ManagersFinance RCM Capital Management offers investment strategies that cover all market-caps and investment styles. The firm offers investment products that vary widely from regional and global strategies to multi-asset and structured products. They have particular expertise in: (1) regional/country equity strategies (2) global equity strategies (3) emerging markets equity strategies (4) thematic and sector strategies (5) alpha extension strategies (6) multi-asset absolute return strategies and (7) structured products. RCM's investment philosophy is based on proprietary sector-based fundamental research. Though not limited by sector, RCM tends to invest in the stocks of companies in the electronic technology, technology services and health technology sectors. The firm invests globally, across all market-caps. RCM maintains a medium turnover rate. | Finance |
Hanna Capital Corp.
Hanna Capital Corp. Other Metals/MineralsNon-Energy Minerals Explores and develops mineral claims | Non-Energy Minerals |
TT International
TT International Investment ManagersFinance TT is an active, conviction-based manager which follows an absolute return/high alpha strategy, seeking positive absolute returns for their hedge funds and aiming for excess returns above relevant benchmarks for their long-only products. The firm believes that markets are structurally inefficient because they insufficiently discount geopolitical and other macro factors and because persistent behavioral biases cause asset prices to diverge from underlying fair value. They also believe that optimal results come from extracting value and protecting capital through all means available, including country allocation, thematic plays, sector rotation, stock selection and currency management. TT believes that success in global markets depends on integrating informed top-down views with robust company analysis. They perform fundamental analysis to identify asset mispricing and select stock based on pragmatic thinking, being flexible on style and choose valuation tools and risk factors on a case by case basis. The firm's research platform is central to their success and peer debate drives their research expertise and idea generation. All their strategies benefit from their operational platform and robust risk management and individual decision-makers are accountable. Their comprehensive risk management approach is fully embedded into their investment process and includes an iterative process between portfolio managers and the Risk Management team to best understand and manage portfolio, liquidity and counterparty risk. TT constructs concentrated portfolios comprised of their best ideas, selling stocks when they reach their price targets, when the investment case has changed, or to make room for better ideas. | Finance |
The University of Sheffield
The University of Sheffield Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Liontrust Investments Ltd.
Liontrust Investments Ltd. Investment ManagersFinance LIL’s investment process includes the objective, strategy, implementation and review. The firm’s fund management teams use distinct and rigorous investment process in managing their funds. They invest worldwide and manage generalist, diversified portfolios spread across various sectors, managed both on a global and regional basis. LIL’s investment team seeks to create value for shareholders over the medium- to long-term, utilizing a top-down approach for asset allocation and a bottom-up approach for selecting ordinary shares. They monitor performance against relevant indexes, but do not track any index. The firm is primarily an equity investor. | Finance |
















