Profil
Mr. Toby Belsom is a Portfolio Manager at Aviva Investors Global Services Ltd.
Before entering the City, he spent several years working at Nortel Telecom and British Telecom.
From 1996 to 2000, he worked at NPI Asset Management and Henderson Global Investors.
At NPI and Henderson, he worked as an Analyst on the award-winning NPI Global Care Managed Pension fund.
He joined Morley Fund Management (now Aviva Investors) in 2000 as an Analyst in the Sustainable & Responsible Investments (SRI) team.
He joined the UK Specialist and Smaller Companies Team in 2004 and is responsible for small-cap fund management and analysis.
Mr. Belsom obtained a Bachelor of Science degree in Geography from Bristol University, and a Master of Science in Environment and Business from Imperial College, London.
He holds the Investment Management Certificate.
Anciens postes connus de Toby Belsom
| Sociétés | Poste | Fin |
|---|---|---|
Aviva Investors Global Services Ltd.
Aviva Investors Global Services Ltd. Investment ManagersFinance AIGSL is an active, research-oriented manager which invests in all major asset classes including equity, fixed-income, real estate and cash. They also have expertise in SRI and alternative investments. The firm manages equity funds and fixed-income funds, following long-only and hedged strategies. They specialize in UK-related markets and share research globally throughout Aviva divisions. AIGSL employs a bottom-up investment process based on fundamental financial analysis and valuation and informed by top-down macro-economic research. They select stock by focusing on favorable industry sectors and utilize a dividend discount model. Determinant criteria include return on assets, price-to-book ratio and a low historical price-to-earnings ratio. | Analyst-Equity | 01/12/2013 |
Expériences
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Entreprise privées
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Relations au 1er degré
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| Entreprise privées | 1 |
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Aviva Investors Global Services Ltd.
Aviva Investors Global Services Ltd. Investment ManagersFinance AIGSL is an active, research-oriented manager which invests in all major asset classes including equity, fixed-income, real estate and cash. They also have expertise in SRI and alternative investments. The firm manages equity funds and fixed-income funds, following long-only and hedged strategies. They specialize in UK-related markets and share research globally throughout Aviva divisions. AIGSL employs a bottom-up investment process based on fundamental financial analysis and valuation and informed by top-down macro-economic research. They select stock by focusing on favorable industry sectors and utilize a dividend discount model. Determinant criteria include return on assets, price-to-book ratio and a low historical price-to-earnings ratio. | Finance |
















