Profil
Mr. Joe O'Dwyer is the Managing Director & Chief Investment Officer at Merrion Investment Managers Ltd.
He has over 20 years experience in the investment industry in both stockbroking and fund management.
In July 2008, he moved to Merrion Investment Managers after Merrion Capital Group acquired Oppenheim Investment Managers Ltd where he was the Managing Director & Chief Investment Officer.
Prior to this, he headed up the European Equity sales function at NCB Stockbrokers.
Previously, he was an Investment Manager with Smurfit Paribas Bank.
Anciens postes connus de Joe O'Dwyer
| Sociétés | Poste | Fin |
|---|---|---|
Cantor Fitzgerald Asset Management Europe
Cantor Fitzgerald Asset Management Europe Investment ManagersFinance CFAME aims to achieve the best investment returns for their clients by offering a full suite of funds across multi-asset, equities, fixed income, cash and absolute return. The firm makes active investment decisions based on a robust three-pillar investment process of macro-economic, valuation and technical analysis. CFAME is dynamic in their approach to asset allocation and stock selection. They are market-focused and style neutral (not tied to any single investment style or ideology). | President | 01/04/2013 |
Oppenheim Investment Managers Ltd.
Oppenheim Investment Managers Ltd. Financial ConglomeratesFinance OIM believes that investment returns depend on market dynamics, not on a particular investment style such as value or growth. The firm aims to deliver superior performance in a range of different market environments, constructing portfolios with reference to the sectors in the global equity market. This approach enables them to capture the global themes that are driving market returns. OIM utilizes a top-down approach for their research methodology, focusing on economic indicators and valuation techniques. Thematic factors are analyzed to identify outperformance of an industry, region or stock with particular focus on industry/regional restructuring, long-term capital investment trends, demographics and social or technological developments. Additionally, the firm considers factors that affect the growth prospects of a company such as return on invested capital, free cash flow generation and enterprise value. Very large portfolios or those with very specific investment objectives are managed on a segregated basis while smaller and medium-sized portfolios are invested through the firm's pooled funds. OIM's partnership with Oppenheim Asset Management provides them with access to European and global research resources. | President | 01/07/2008 |
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| Entreprise privées | 2 |
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Oppenheim Investment Managers Ltd.
Oppenheim Investment Managers Ltd. Financial ConglomeratesFinance OIM believes that investment returns depend on market dynamics, not on a particular investment style such as value or growth. The firm aims to deliver superior performance in a range of different market environments, constructing portfolios with reference to the sectors in the global equity market. This approach enables them to capture the global themes that are driving market returns. OIM utilizes a top-down approach for their research methodology, focusing on economic indicators and valuation techniques. Thematic factors are analyzed to identify outperformance of an industry, region or stock with particular focus on industry/regional restructuring, long-term capital investment trends, demographics and social or technological developments. Additionally, the firm considers factors that affect the growth prospects of a company such as return on invested capital, free cash flow generation and enterprise value. Very large portfolios or those with very specific investment objectives are managed on a segregated basis while smaller and medium-sized portfolios are invested through the firm's pooled funds. OIM's partnership with Oppenheim Asset Management provides them with access to European and global research resources. | Finance |
Cantor Fitzgerald Asset Management Europe
Cantor Fitzgerald Asset Management Europe Investment ManagersFinance CFAME aims to achieve the best investment returns for their clients by offering a full suite of funds across multi-asset, equities, fixed income, cash and absolute return. The firm makes active investment decisions based on a robust three-pillar investment process of macro-economic, valuation and technical analysis. CFAME is dynamic in their approach to asset allocation and stock selection. They are market-focused and style neutral (not tied to any single investment style or ideology). | Finance |
















