Profil
Mr. Jeremy D.
Taylor is a Senior Research Analyst & Portfolio Manager at AllianceBernstein Ltd. He is responsible for research coverage of European commodities stocks, including energy, metals and mining, chemicals, and utilities, and is a Portfolio Manager for the Global Commodity Producers and Global ESG Improvers strategies.
Additionally, he coordinates Global Commodities Research team as Sector Leader.
He joined the firm in 2005 as a Research Analyst.
He has over 31 years of experience.
Previously, Mr. Taylor was an Associate Principal in the industrials group at McKinsey & Company, focusing on business unit strategy, organization, marketing and sales.
Prior to that, he was a Product Manager at Shell Chemicals at Royal Dutch Shell Group.
Mr. Taylor holds a Bachelor of Science degree and a Master of Science in Electrical and Electronic Engineering from the University of Manchester.
Postes actifs de Jeremy David Taylor
| Sociétés | Poste | Début |
|---|---|---|
AllianceBernstein Ltd.
AllianceBernstein Ltd. Investment ManagersFinance ABL is a research-driven, GARP-oriented manager which utilizes a bottom-up stock selection approach and performs fundamental research, seeking to invest in companies with sustainable fundamental growth and attractive valuation. Their portfolios are actively traded to capitalize on the volatility in individual stocks and the overall market. The firm offers a comprehensive range of investment services across regions and along the risk-and-return spectrum including style-pure growth equities and value equities, style blend equities, fixed-income, index and structured services, alternative investments and customized and packaged multi- asset class solutions. | Analyst-Equity | 01/01/2005 |
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Sociétés liées
| Entreprise privées | 1 |
|---|---|
AllianceBernstein Ltd.
AllianceBernstein Ltd. Investment ManagersFinance ABL is a research-driven, GARP-oriented manager which utilizes a bottom-up stock selection approach and performs fundamental research, seeking to invest in companies with sustainable fundamental growth and attractive valuation. Their portfolios are actively traded to capitalize on the volatility in individual stocks and the overall market. The firm offers a comprehensive range of investment services across regions and along the risk-and-return spectrum including style-pure growth equities and value equities, style blend equities, fixed-income, index and structured services, alternative investments and customized and packaged multi- asset class solutions. | Finance |
















