Profil
Mr. Gavin W.
Joubert is a Head of Global Emerging Markets & Portfolio Manager at Coronation Asset Management (Pty) Ltd. He manages the Global Emerging Markets Equity Strategy, the International Core Equity Strategy and the Global Optimum Growth Unit Trust.
He joined Coronation in 1999 and has more than 26 years' investment experience.
Postes actifs de Gavin W. Joubert
| Sociétés | Poste | Début |
|---|---|---|
Coronation Asset Management (Pty) Ltd.
Coronation Asset Management (Pty) Ltd. Investment ManagersFinance CAM is an active, fundamental research-based manager with a long term-driven investment approach. The firm’s investment expertise extends across asset classes and geographies, with an emphasis on equities and multi-asset funds in global emerging and frontier markets. They aim to identify mispriced assets trading at discounts to their long-term business value (fair value). Their focus is on through-the-cycle normalized earnings or cash flow. CAM uses a bottom-up stock selection approach with a disciplined evaluation of company fair value based on extensive fundamental research. They buy shares at significant discounts to their assessment of long-term fair value and sell them as they approach fair value. | Head-Equity Investments | - |
Expériences
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Inactives
Sociétés cotées
Entreprise privées
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Entreprises liées au 1er degré
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Sociétés liées
| Entreprise privées | 1 |
|---|---|
Coronation Asset Management (Pty) Ltd.
Coronation Asset Management (Pty) Ltd. Investment ManagersFinance CAM is an active, fundamental research-based manager with a long term-driven investment approach. The firm’s investment expertise extends across asset classes and geographies, with an emphasis on equities and multi-asset funds in global emerging and frontier markets. They aim to identify mispriced assets trading at discounts to their long-term business value (fair value). Their focus is on through-the-cycle normalized earnings or cash flow. CAM uses a bottom-up stock selection approach with a disciplined evaluation of company fair value based on extensive fundamental research. They buy shares at significant discounts to their assessment of long-term fair value and sell them as they approach fair value. | Finance |
















