Profiel
Mr. Nigel Cuming is a Global Analyst at Theta Enhanced Asset Management Ltd. He is a finance industry veteran, having spent his entire working career initially in stockbroking but predominantly in investment management.
Mr. Cuming's career includes the roles of Vice-President & Head of Investment Management Jersey for Chase Bank and Trust Company Jersey Ltd, Head of Investment Management for ANZ Grindlays and then Matheson Securities and Head of Jersey Portfolio Managers for Insinger de Beaufort after their acquisition of Matheson Securities.
In 2006, he became Head of Asset Allocation and Jersey Portfolio Manager at Collin Stewart Wealth Management, and then Chief Investment Manager from 2007 to 2011.
After acquisition by Canaccord Wealth Management, Mr. Cuming held several senior management positions including Chief Investment Officer and the Chairman of the Asset Allocation Committee, where he was ultimately responsible for performance and maintenance of key client relationships.
He was also a member of the Senior Management Committee as well as the Portfolio Construction, Fixed Interest and Fund Selection Committees.
More recently, he acted as a Consultant for Canaccord Genuity Wealth Management where he advised on maintenance of key client relationships and staff mentoring.
Actieve functies van Nigel Cuming
| Bedrijven | Functie | Begin |
|---|---|---|
Theta Enhanced Asset Management Ltd.
Theta Enhanced Asset Management Ltd. Investment ManagersFinance TEAM Asset Management’s multi-asset strategies are designed to deliver the best possible long-term returns in line with their clients’ objectives and appetite to risk. The firm aims to achieve superior performance by using an active management approach that is long-term and strategic, focus on achieving real returns. | Analyst-Equity | 01-01-2024 |
Eerdere bekende functies van Nigel Cuming
| Bedrijven | Functie | Einde |
|---|---|---|
Canaccord Genuity Wealth (International) Ltd.
Canaccord Genuity Wealth (International) Ltd. Investment ManagersFinance CGWIL is an active, long-term investor which offers clients an access to a wide range of portfolio building and management resources, supported by rigorous, robust and highly analytical investment process includes in-depth research, in-house resources and insights into local and international markets. The firm invests in individual stocks and bonds, and other alternative asset classes. They also invest in third party investment funds, for added diversification and access to a wide range of investment styles and strategies. | Chief Investment Officer | 01-05-2017 |
Collins Stewart (CI) Ltd.
Collins Stewart (CI) Ltd. Investment ManagersFinance Collins Stewart is an active, risk-averse investor that manages portfolios to maximize returns on a risk-adjusted basis in rising markets and reduce losses in falling markets. Their Asset Allocation Committee determines the balance of investments between bonds, equities, commodities, real estate and cash, overlaying these decisions on the countries and sectors offering the best prospects. A fund selection team of sector specialists focuses on specific regions to ensure balanced and relevant fund choices. The firm's stock selection committee uses a wide range of research, including Collins Stewart's proprietary stock valuation system to identify the most attractive holdings. These decisions are reflected across a range of model portfolios from which they develop tailored client solutions. The firm's in-house portfolio monitoring team ensures that decisions are implemented consistently and appropriately. Collins Stewart offers open-ended investment funds based in Guernsey and Dublin. The Guernsey funds invest in fixed-income, balanced, growth and funds of hedge funds and the Dublin funds provide dedicated exposure to European, US and UK equity markets as well as offering a total return bond fund | Chief Investment Officer | 01-03-2012 |
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| Bedrijven in privébezit | 3 |
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Collins Stewart (CI) Ltd.
Collins Stewart (CI) Ltd. Investment ManagersFinance Collins Stewart is an active, risk-averse investor that manages portfolios to maximize returns on a risk-adjusted basis in rising markets and reduce losses in falling markets. Their Asset Allocation Committee determines the balance of investments between bonds, equities, commodities, real estate and cash, overlaying these decisions on the countries and sectors offering the best prospects. A fund selection team of sector specialists focuses on specific regions to ensure balanced and relevant fund choices. The firm's stock selection committee uses a wide range of research, including Collins Stewart's proprietary stock valuation system to identify the most attractive holdings. These decisions are reflected across a range of model portfolios from which they develop tailored client solutions. The firm's in-house portfolio monitoring team ensures that decisions are implemented consistently and appropriately. Collins Stewart offers open-ended investment funds based in Guernsey and Dublin. The Guernsey funds invest in fixed-income, balanced, growth and funds of hedge funds and the Dublin funds provide dedicated exposure to European, US and UK equity markets as well as offering a total return bond fund | Finance |
Theta Enhanced Asset Management Ltd.
Theta Enhanced Asset Management Ltd. Investment ManagersFinance TEAM Asset Management’s multi-asset strategies are designed to deliver the best possible long-term returns in line with their clients’ objectives and appetite to risk. The firm aims to achieve superior performance by using an active management approach that is long-term and strategic, focus on achieving real returns. | Finance |
Canaccord Genuity Wealth (International) Ltd.
Canaccord Genuity Wealth (International) Ltd. Investment ManagersFinance CGWIL is an active, long-term investor which offers clients an access to a wide range of portfolio building and management resources, supported by rigorous, robust and highly analytical investment process includes in-depth research, in-house resources and insights into local and international markets. The firm invests in individual stocks and bonds, and other alternative asset classes. They also invest in third party investment funds, for added diversification and access to a wide range of investment styles and strategies. | Finance |
















