Profiel
Mr. Ross Braithwaite is an Assistant Fund Manager at Aberdeen Asset Investments Ltd. He joined Aberdeen in April 2014 through the acquisition of SWIP, where he had been the Fund Manager of PURetail since its launch in 2011, and prior to that investment manager on the SWIP European Balanced Property Fund, Airport Industrial Property Unit Trust and UK Balanced Property Trust, after joining SWIP in 2003.
Prior to that, he worked for Standard Life Investments for five years.
He graduated with a BLE (Hons) in Land Economy from Aberdeen University and is a professional member of the Royal Institution of Chartered Surveyors.
Eerdere bekende functies van Ross Braithwaite
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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. | Portefeuillebeheerder-Aandelen | 01-07-2018 |
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| Bedrijven in privébezit | 1 |
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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 |
















