Profil
Mr. John A. Lupton is Founding Partner of Hermes OCL at Hermes Investment Management Ltd.
Mr. Lupton was previously employed as a Portfolio Manager for seven years by Fortis Investment Management.
He held various positions at Fortis Investments, the most recent being Head of Market, Customised and Securitised Strategies, Global Credit & Hybrids Group.
He was responsible for running various portfolio strategies and customising delivery formats for about 100 portfolios and Euro 14.7bn AUM.
His previous responsibilities at Fortis Investments included CIO of Global and European High Yield.
Before joining Fortis Investments, Mr. Lupton held the position of Director Global and European High Yield at West LB. He was also a founding partner in Green T Asset Management, the first hedge fund to focus exclusively on European High Yield Debt.
Previous roles were at Donaldson Lufkin and Jenrette International, Banque Paribas and Price Waterhouse Management Consultants.
He holds a BA and MA hons from the University of Cambridge.
Anciens postes connus de John Arthur Lupton
| Sociétés | Poste | Fin |
|---|---|---|
Hermes Investment Management Ltd.
Hermes Investment Management Ltd. Investment ManagersFinance HIML is an active, long-term manager that provides investment solutions in a range of equities, fixed income, multi-asset and private markets strategies. The firm uses either a bottom-up or a top-down approach or both in their investment process, to identify and buy quality stocks that are attractively priced and to seek superior risk-adjusted returns. | Portfolio Manager-Fixed Income | 01/02/2012 |
Fortis Investment Management (UK) Ltd.
Fortis Investment Management (UK) Ltd. Investment ManagersFinance FIM-UK is an active investment manager with a growth-oriented investment style. The firm specializes in European small-cap equity, Asian and emerging market equity, multi-management, emerging market bonds and global bonds. Their investment approach is bottom-up and based on fundamental research and in-depth knowledge of the markets in which they specialize. Proprietary research is shared within the Fortis Investments global network, and combines quantitative and qualitative analysis. Research focuses on valuation, assessing asset quality and identifying catalysts likely to unlock value. Fortis Investments believes that performances depend more on sector allocation than on regional allocation. They seek to identify major industry themes and value drivers within sectors. They favor sector leaders representing quality among their peers. They also invest in value and high-yield stocks. Their investment decisions are based on a blend of company and sector views with macroeconomic analysis. Fortis Investments emphasizes accountability. Within the allocation framework defined at the global level, small teams of portfolio managers operate autonomously under the supervision of the asset class CIO. The firm's products are managed using a core model portfolio, customized for each client. | Portfolio Manager-Fixed Income | 01/01/2010 |
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| Entreprise privées | 2 |
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Hermes Investment Management Ltd.
Hermes Investment Management Ltd. Investment ManagersFinance HIML is an active, long-term manager that provides investment solutions in a range of equities, fixed income, multi-asset and private markets strategies. The firm uses either a bottom-up or a top-down approach or both in their investment process, to identify and buy quality stocks that are attractively priced and to seek superior risk-adjusted returns. | Finance |
Fortis Investment Management (UK) Ltd.
Fortis Investment Management (UK) Ltd. Investment ManagersFinance FIM-UK is an active investment manager with a growth-oriented investment style. The firm specializes in European small-cap equity, Asian and emerging market equity, multi-management, emerging market bonds and global bonds. Their investment approach is bottom-up and based on fundamental research and in-depth knowledge of the markets in which they specialize. Proprietary research is shared within the Fortis Investments global network, and combines quantitative and qualitative analysis. Research focuses on valuation, assessing asset quality and identifying catalysts likely to unlock value. Fortis Investments believes that performances depend more on sector allocation than on regional allocation. They seek to identify major industry themes and value drivers within sectors. They favor sector leaders representing quality among their peers. They also invest in value and high-yield stocks. Their investment decisions are based on a blend of company and sector views with macroeconomic analysis. Fortis Investments emphasizes accountability. Within the allocation framework defined at the global level, small teams of portfolio managers operate autonomously under the supervision of the asset class CIO. The firm's products are managed using a core model portfolio, customized for each client. | Finance |
















