선호 종목, 경제 이벤트, 팔로우하는 저자들의 글 업데이트를 받으시려면 회원가입을 해주세요.
무료 회원가입 이미 계정이 있으세요? 로그인
종목명 | 헤드라인 | 재직 시작연도 | 기간 |
---|---|---|---|
Brian Kersmanc | Reconciliation Analyst | 2021 | now |
전기 | Brian is a portfolio manager for all GQG Partners strategies. He was deputy portfolio manager for GQG Partners’ International Equity strategy from 2019 through June 2022 and has been a senior investment analyst on the investment team since he joined the firm in 2016. Prior to joining GQG Partners, Brian spent six years at Jennison Associates, where he served most recently as an analyst on the Small/Midcap Equity Research team. Prior to Jennison, Brian began his career at Brown Brothers Harriman in 2008. Brian earned his MBA at Rutgers University and his BA from the University of Connecticut. | ||
Sudarshan Murthy | Portfolio Manager | 2021 | now |
전기 | Sudarshan is a portfolio manager for all GQG Partners strategies. He was deputy portfolio manager for GQG Partners’ Emerging Markets Equity strategy from 2019 through June 2022 and has been a senior investment analyst on the investment team since he joined the firm in 2016. Prior to joining GQG Partners, he spent five years as a generalist analyst in Asian equities at Matthews International Capital. Sudarshan’s previous experience also includesworking as a sell-side research associate at Sanford C. Bernstein. | ||
Rajiv Jain | - | 2021 | now |
전기 | Rajiv Jain is the Chairman and Chief Investment Officer of GQG Partners and also serves as a portfolio manager for all of the firm’s strategies. He commenced investment operations at GQG Partners in June 2016 and has over 25 years of investment experience. Previously, Rajiv served as a Co-Chief Executive Officer (from July 2014) and Chief Investment Officer and Head of Equities (from February 2002) at Vontobel Asset Management. He was the sole portfolio manager of the International Equities strategy (since 2002) and Emerging Markets Equities strategy (since 1997), and the lead portfolio manager for the Global Equities strategy (since 2002). Rajiv helped build the business from less than US$400 million under management to just under US$50 billion in 2016. He joined Vontobel Asset Management as a co-portfolio manager of Emerging Markets Equities and International Equities in November 1994. Prior to that, he was an International Equity Analyst at Swiss Bank Corporation. Rajiv earned an MBA in Finance and International Business from the University of Miami. He also has a master’s degree from the University of Ajmer and an undergraduate degree in accounting with honors. | ||
James Anders | Research Analyst | 2021 | 2022 |
전기 | James is a portfolio manager for all GQG Partners strategies. He was deputy portfolio manager for GQG Partners’ Global Equity strategy and US Select Equity strategy from 2020 through June 2022 and has been a senior investment analyst on the investment team since he joined the firm in 2017. Prior to joining GQG Partners, James was a Senior VP and research analyst at Mercator Asset Management. James completed his MBA at Columbia Business School and earned a BA degree in Economics from Hamilton College. He is a CFA charterholder. |
%USER_NAME%(을)를 정말로 차단하시겠습니까?
그렇게 하면, 귀하와 %USER_NAME%(은)는 서로의 Investing.com 게시물을 볼 수 없습니다.
%USER_NAME%(은)는 차단 명단에 추가되었습니다.
방금 이 사람을 차단해제하였으므로 48시간 이후에 차단을 재개할 수 있습니다.
나는 이 의견이 다음과 같다고 생각합니다:
감사합니다!
귀하의 보고는 검토를 위해 조정자에게 보내졌습니다.