Profil
Juan Valenzuela worked as an Investment Manager at abrdn Alternative Investments Ltd. from 2008 to 2012.
He then served as an Investment Manager-Fixed Income at Aegon Asset Management UK PLC from 2015 to 2018.
Juan also worked as a Fund Manager at Artemis Investment Management LLP.
Additionally, he worked as an Investment Manager at Liontrust Investments Ltd. from 2012 to 2015.
Anciens postes connus de Juan Valenzuela
| Sociétés | Poste | Fin |
|---|---|---|
Aegon Asset Management UK PLC
Aegon Asset Management UK PLC Investment ManagersFinance Aegon AM UK is an active, global investor that aims to deliver superior investment performance with an appropriate level of risk for their investors by running high-conviction portfolios. The firm is style neutral and looks for opportunities to deliver returns across all market conditions, rather than tying themselves to a single investment style, such as value, growth or momentum. They offer a range of investment strategies, covering asset classes including fixed income, equities and multi-asset. Aegon AM UK seeks to identify and consider financial, material, environmental, social and governance (ESG) factors into bottom-up research. | Analyst-Fixed Income | 30/11/2018 |
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. | Portfolio Manager-Fixed Income | 01/06/2015 |
abrdn Alternative Investments Ltd.
abrdn Alternative Investments Ltd. Investment ManagersFinance AAI is an active, research-driven manager which employs bottom-up asset analysis combined with a macroeconomic view to seek market mispricing opportunities and provide investors with superior returns. Their overall investment approach is anchored by their fundamental research and in-house expertise across asset classes including UK and international equities, real estate, bonds and cash. The firm typically adopts a long-term investment horizon when selecting equities, basing their investment decisions on in-house criteria and focusing on the firm's prospects over a five-year horizon. For government bonds, they utilize top-down analysis and a combination of bottom-up and macroeconomic research for corporate bonds. | Portfolio Manager-Fixed Income | 01/04/2012 |
Artemis Investment Management LLP
Artemis Investment Management LLP Investment ManagersFinance AIM is an active, benchmark-aware manager which seeks to outperform the market and produce long-term returns. The firm is a socially responsible manager which regularly gives a fixed proportion of revenues to the Artemis Charitable Foundation. Fund managers make independent decisions and pick stocks which seek sectors and companies that are going through change and that have the potential to be reassessed by the market. The firm’s fund managers utilize an internal and external rese arch which aims to identify undervalued stocks. | Portfolio Manager-Fixed Income | - |
Expériences
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Actives
Inactives
Sociétés cotées
Entreprise privées
Relations
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Entreprises liées au 1er degré
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Sociétés liées
| Entreprise privées | 4 |
|---|---|
abrdn Alternative Investments Ltd.
abrdn Alternative Investments Ltd. Investment ManagersFinance AAI is an active, research-driven manager which employs bottom-up asset analysis combined with a macroeconomic view to seek market mispricing opportunities and provide investors with superior returns. Their overall investment approach is anchored by their fundamental research and in-house expertise across asset classes including UK and international equities, real estate, bonds and cash. The firm typically adopts a long-term investment horizon when selecting equities, basing their investment decisions on in-house criteria and focusing on the firm's prospects over a five-year horizon. For government bonds, they utilize top-down analysis and a combination of bottom-up and macroeconomic research for corporate bonds. | Finance |
Aegon Asset Management UK PLC
Aegon Asset Management UK PLC Investment ManagersFinance Aegon AM UK is an active, global investor that aims to deliver superior investment performance with an appropriate level of risk for their investors by running high-conviction portfolios. The firm is style neutral and looks for opportunities to deliver returns across all market conditions, rather than tying themselves to a single investment style, such as value, growth or momentum. They offer a range of investment strategies, covering asset classes including fixed income, equities and multi-asset. Aegon AM UK seeks to identify and consider financial, material, environmental, social and governance (ESG) factors into bottom-up research. | Finance |
Artemis Investment Management LLP
Artemis Investment Management LLP Investment ManagersFinance AIM is an active, benchmark-aware manager which seeks to outperform the market and produce long-term returns. The firm is a socially responsible manager which regularly gives a fixed proportion of revenues to the Artemis Charitable Foundation. Fund managers make independent decisions and pick stocks which seek sectors and companies that are going through change and that have the potential to be reassessed by the market. The firm’s fund managers utilize an internal and external rese arch which aims to identify undervalued stocks. | Finance |
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 |
















