Andrew Jackson
Fortune : 1 M $ au 31/05/2026
Fortune : 1 M $ au 31/05/2026
Dr. Andrew R.
Jackson is a Head of Research at Vinva Investment Management Ltd. He has over 15 years experience in equity portfolio management and research.
Prior to joining Vinva in September 2010, he was the Head of Equity Investments at BlackRock in Australia.
Previously, he was the Head of Australian Equity Research at Barclays Global Investors (BGI) from 2003 to 2009.
There he was responsible for developing new stock selection signals, enhancing and monitoring the existing suite of signals, and managing the Australian research team as well as part of the global equity research team.
He was also one of two members in the Asia Pacific region to be on the BGI global equity research approval board which had oversight and responsibility for reviewing all equity research across global markets.
Prior to BGI, he worked as a portfolio manager and researcher for both SSgA and Lend Lease Investment Management.
He has as a PhD in Finance from London Business School.
He is a Fellow of the Institute of Actuaries, has a Masters of Finance, is a CFA charter holder and a Fellow of FINSIA, and has a first class honours degree with the university medal in actuarial studies and economics from Macquarie University.
| Société | Date | Nombre d'actions | Valorisation | Date de valorisation |
|---|---|---|---|---|
Yandal Resources Ltd.
Yandal Resources Ltd. Precious MetalsNon-Energy Minerals Provides gold exploration services 2,31 % | 22/08/2025 | 8 804 721 ( 2,31 % ) | 1 M $ | 31/05/2026 |
| Sociétés | Poste | Début |
|---|---|---|
Vinva Investment Management Ltd.
Vinva Investment Management Ltd. Investment ManagersFinance Vinva aims to generate investment outperformance that meets or exceeds their clients’ expectations. The firm utilizes an insight-driven systematic approach to investing. They bring sound economic insights and market understanding to investing combined with a disciplined and quantitatively driven approach. Their investment portfolios exploit a diversified range of market inefficiencies and are designed to be style neutral over time. | Directeur de la Recherche - Actions | 01/09/2010 |
| Sociétés | Poste | Fin |
|---|---|---|
Blackrock Asset Management (Australia) Ltd.
Blackrock Asset Management (Australia) Ltd. Investment ManagersFinance Provides investment advice | Analyst-Equity | 01/09/2010 |
Barclays Global Investors (Australia) Ltd.
Barclays Global Investors (Australia) Ltd. Investment ManagersFinance BGIA is an innovation-oriented investment manager and a quantitative portfolio management specialist. They invest globally in equity, fixed income and currency. The firm describes their investment approach a 'scientific investing', and their active 'Alpha Tilts' investment process as focused on changes in earnings expectations, relative valuation, sustainable earnings, quality management, special situations, and expected medium-term performance in the market. The firm's investment philosophy emphasizes risk control and the direct link between cost efficiency and performance improvement. Their 'scientific' investment approach is research-driven and relies on advanced and continuously updated technology and processing capacities. Research is shared within the group, in particular the insights of the Advanced Strategies & Research Group, a think tank created by BGI. BGIA's real estate fund is invested in Australian listed property and fully replicates the S&P/ASX 300 Property Accumulation Index. The firm's fixed-income fund is invested in Australian bonds and tracks the UBSWA Composite Bond All Maturities Index. The firm's actively managed equity fund is invested in Australian shares across sectors and aims at outperforming the S&P/ASX 300 Accumulation Index. The fund is highly diversified and seeks to remain neutral regarding industry, sector, style and size. | Analyst-Equity | 10/12/2009 |
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Entreprise privées
Relations au 1er degré
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Homme
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| Entreprise privées | 3 |
|---|---|
Barclays Global Investors (Australia) Ltd.
Barclays Global Investors (Australia) Ltd. Investment ManagersFinance BGIA is an innovation-oriented investment manager and a quantitative portfolio management specialist. They invest globally in equity, fixed income and currency. The firm describes their investment approach a 'scientific investing', and their active 'Alpha Tilts' investment process as focused on changes in earnings expectations, relative valuation, sustainable earnings, quality management, special situations, and expected medium-term performance in the market. The firm's investment philosophy emphasizes risk control and the direct link between cost efficiency and performance improvement. Their 'scientific' investment approach is research-driven and relies on advanced and continuously updated technology and processing capacities. Research is shared within the group, in particular the insights of the Advanced Strategies & Research Group, a think tank created by BGI. BGIA's real estate fund is invested in Australian listed property and fully replicates the S&P/ASX 300 Property Accumulation Index. The firm's fixed-income fund is invested in Australian bonds and tracks the UBSWA Composite Bond All Maturities Index. The firm's actively managed equity fund is invested in Australian shares across sectors and aims at outperforming the S&P/ASX 300 Accumulation Index. The fund is highly diversified and seeks to remain neutral regarding industry, sector, style and size. | Finance |
Blackrock Asset Management (Australia) Ltd.
Blackrock Asset Management (Australia) Ltd. Investment ManagersFinance Provides investment advice | Finance |
Vinva Investment Management Ltd.
Vinva Investment Management Ltd. Investment ManagersFinance Vinva aims to generate investment outperformance that meets or exceeds their clients’ expectations. The firm utilizes an insight-driven systematic approach to investing. They bring sound economic insights and market understanding to investing combined with a disciplined and quantitatively driven approach. Their investment portfolios exploit a diversified range of market inefficiencies and are designed to be style neutral over time. | Finance |
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