Profil
Mr. Paul G.
Flood is a Head of Mixed Assets Investment at Newton Investment Management Ltd. He joined Newton in 2004.
He is also lead manager of Newton Multi-Asset Diversified Return strategy, the Newton Multi-Asset Income strategy and the Newton Multi-Asset Growth strategy.
He also provides leadership and analysis on asset allocation, derivatives and convertible bonds for the wider firm, having spent the earlier part of his career working on strategic asset allocation and derivative strategy.
He is responsible for generating ideas within alternative assets and has been leading in this area since 2008.
He is a member of the macro allocation group and provides feedback to the wider house on strategic and tactical asset allocation.
He studied Astrophysics at the University of St Andrews.
Postes actifs de Paul George McLaren Flood
| Sociétés | Poste | Début |
|---|---|---|
Newton Investment Management Ltd.
Newton Investment Management Ltd. Investment ManagersFinance NIM is a thematic, team-oriented manager which conducts in-house research to identify themes and trends that influence, or are likely to influence, economies or stock markets globally. The firm focuses their research on the areas they believe are most likely to yield the best performing securities. Portfolio managers construct equity and fixed-income model portfolios in teams. For equity portfolios, the most important aspect of portfolio construction is stock selection as bottom-up decisions drive, to a large extent, a portfolio’s allocation to countries, sectors, and currencies. Their fixed income portfolios utilize both their top-down view of the world’s bond and currency markets and bottom-up investment selection process. | Analyst-Fixed Income | 01/02/2006 |
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| Entreprise privées | 1 |
|---|---|
Newton Investment Management Ltd.
Newton Investment Management Ltd. Investment ManagersFinance NIM is a thematic, team-oriented manager which conducts in-house research to identify themes and trends that influence, or are likely to influence, economies or stock markets globally. The firm focuses their research on the areas they believe are most likely to yield the best performing securities. Portfolio managers construct equity and fixed-income model portfolios in teams. For equity portfolios, the most important aspect of portfolio construction is stock selection as bottom-up decisions drive, to a large extent, a portfolio’s allocation to countries, sectors, and currencies. Their fixed income portfolios utilize both their top-down view of the world’s bond and currency markets and bottom-up investment selection process. | Finance |
















