Profil
Mr. Martin T.
Fahey, CFA, is a Senior Vice President, Portfolio Manager & Head of Team at Mackenzie Investments Europe Ltd. He brings over 30 years of experience and a broad European and international scope to the investment decision making process and fund management at Mackenzie Investments Europe Limited (Mackenzie Europe).
As Head of European Equities, Mr. Fahey is responsible for overseeing the investment process of all European mandates.
Prior to joining Mackenzie Europe in 1993, he held various investment management positions at AMP Asset Management and United Friendly Insurance.
He earned his Bachelor of Commerce and Master of Business Studies (Honors) degree at University College Galway.
Mr. Fahey is a CFA charterholder and has also successfully completed the International Investment Management Research exam.
Postes actifs de Martin Thomas Fahey
| Sociétés | Poste | Début |
|---|---|---|
Mackenzie Investments Europe Ltd.
Mackenzie Investments Europe Ltd. Investment ManagersFinance Mackenzie Europe believes success in fundamental investing is achieved by identifying undervalued, under-appreciated companies with high and/or improving returns on invested capital and a sustainable competitive advantage. Securities are evaluated based on top-down macro trends, bottom-up company analysis, and both internal and external research and analysis. The firm offers various institutional strategies that are well diversified across asset classes, geographies and sectors, targeting a range of specific investment objectives. | Directeur Général | 01/01/1993 |
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| Entreprise privées | 1 |
|---|---|
Mackenzie Investments Europe Ltd.
Mackenzie Investments Europe Ltd. Investment ManagersFinance Mackenzie Europe believes success in fundamental investing is achieved by identifying undervalued, under-appreciated companies with high and/or improving returns on invested capital and a sustainable competitive advantage. Securities are evaluated based on top-down macro trends, bottom-up company analysis, and both internal and external research and analysis. The firm offers various institutional strategies that are well diversified across asset classes, geographies and sectors, targeting a range of specific investment objectives. | Finance |
















