Profil
Mr. Edward J.
Williams is Founder & Fund Manager at Sanlam FOUR Investments UK Ltd.
Prior to co-founding Sanlam FOUR, he was a member of Schroder Investment Management Ltd’s Specialist UK Equity Team since he joined them in 1996.
He was an Executive Director and was responsible for the management of £2.5 billion in high performance mandates.
Prior to this, Mr. Williams worked for Prudential Portfolio Managers, where he was a Director, from 1978 to 1996.
He was a Research Analyst until 1981 when he became a UK Equity Fund Manager for pension schemes and Head of Unit Trusts in 1996.
He was also previously employed as Non-Executive Director by AdEPT Telecom Plc.
Mr. Williams holds a BA in Economics from Essex University and is a Member of the Securities & Investment Institute.
Anciens postes connus de Edward John Williams
| Sociétés | Poste | Fin |
|---|---|---|
Sanlam Investments UK Ltd.
Sanlam Investments UK Ltd. Investment ManagersFinance Sanlam UK is an active, flexible and pragmatic manager which believes that market inefficiencies exist and looks for pricing anomalies created by short-term volatility. They focus on fundamental intrinsic valuation for invested capital over the long-term. The firm's investment process is driven by bottom-up stock-picking based on the fundamental factors that shape share prices such as cash flow returns and valuation. Portfolios are constructed following their high conviction approach and are either a strategic or a tactical holding. | Fondateur | 01/12/2015 |
| ADET TECH | Directeur/Membre du Conseil | 03/04/2009 |
Expériences
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Sociétés cotées
Entreprise privées
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Relations au 1er degré
Entreprises liées au 1er degré
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Sociétés liées
| Entreprise privées | 2 |
|---|---|
AdEPT Technology Group Plc
AdEPT Technology Group Plc Information Technology ServicesTechnology Services Provides managed services for IT, unified communication, connectivity, voice and cloud services | Technology Services |
Sanlam Investments UK Ltd.
Sanlam Investments UK Ltd. Investment ManagersFinance Sanlam UK is an active, flexible and pragmatic manager which believes that market inefficiencies exist and looks for pricing anomalies created by short-term volatility. They focus on fundamental intrinsic valuation for invested capital over the long-term. The firm's investment process is driven by bottom-up stock-picking based on the fundamental factors that shape share prices such as cash flow returns and valuation. Portfolios are constructed following their high conviction approach and are either a strategic or a tactical holding. | Finance |
















