Profil
Mr. David G.
Lloyd-Nolan is a Portfolio Manager at Aberdeen Asset Managers Ltd. He is responsible for portfolio implementation and the day to day workflow on the fixed income implementation desk in London.
Mr. Lloyd-Nolan joined Aberdeen via the acquisition of Deutsche Asset Management's London and Philadelphia fixed income businesses in 2005.
Mr. Lloyd-Nolan held a similar role at Deutsche Asset Management, which he joined in 1997.
Mr. Lloyd-Nolan received his BSc (Hons) degree in Mathematics with Economics from Sussex University.
Anciens postes connus de David Gordon Lloyd-Nolan
| Sociétés | Poste | Fin |
|---|---|---|
abrdn Investments Ltd.
abrdn Investments Ltd. Investment ManagersFinance aIL is an active manager that makes their investment decisions using first-hand research. They conduct proprietary research to identify investment opportunities with attractive risk-reward characteristics. The firm combines multiple non-correlated investment decisions with risk monitoring and management. Their strategies include equities, fixed income, private markets, alternative investments and real estate. aIL utilizes a bottom-up, fundamental stock-picking approach, where sector, regional and country allocations are a residual of their bottom-up stock selection decisions, constrained by appropriate risk controls. | Analyst-Fixed Income | 16/09/2011 |
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| Entreprise privées | 1 |
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abrdn Investments Ltd.
abrdn Investments Ltd. Investment ManagersFinance aIL is an active manager that makes their investment decisions using first-hand research. They conduct proprietary research to identify investment opportunities with attractive risk-reward characteristics. The firm combines multiple non-correlated investment decisions with risk monitoring and management. Their strategies include equities, fixed income, private markets, alternative investments and real estate. aIL utilizes a bottom-up, fundamental stock-picking approach, where sector, regional and country allocations are a residual of their bottom-up stock selection decisions, constrained by appropriate risk controls. | Finance |
















