Profil
Mr. Phillip J.
Hudak, CFA, is a Co-Portfolio Manager at Maple-Brown Abbott Ltd. He joined Maple-Brown Abbott in April 2022 as Co-Portfolio Manager for Australian Small Companies, bringing over 20 years’ investment experience, with 15 years dedicated to Australian small cap equity portfolio management and fundamental stock research.
In his current role, he is responsible for leading the Australian small companies equity business, focusing on medium-term earnings delivery combined with a differentiated market-leading sustainability framework which is designed to outperform in most market environments.
Before joining Maple-Brown Abbott, Mr. Hudak worked as Co-Portfolio Manager on the AMP Capital Australian Emerging Companies strategy for nine years.
Prior to that, he was a small companies analyst at ING Investment Management, analyst at MIR Investment Management and an investment consultant with Russell Investment Group.
Postes actifs de Phillip John Hudak
| Sociétés | Poste | Début |
|---|---|---|
Maple-Brown Abbott Ltd.
Maple-Brown Abbott Ltd. Investment ManagersFinance Maple-Brown Abbott is an active investment manager with a long-term investment horizon. The firm believes that responsible investing enhances their investment decision-making and ultimately leads to superior long-term returns for their clients. They manage Australian equity, Asian equity, global listed infrastructure and multi-asset strategies. A key aspect of the firm’s investment process is their bottom-up approach to stock selection and portfolio construction, based on company analysis and estimates prepared by their investment staff. | Gestionnaire de Portefeuille-Actions | 01/04/2022 |
Anciens postes connus de Phillip John Hudak
| Sociétés | Poste | Fin |
|---|---|---|
AMP Capital Investors Ltd.
AMP Capital Investors Ltd. Investment ManagersFinance Dexus is an active manager which invests in equity, fixed-income, real estate, infrastructure, and multi-asset and diversified securities. Their investment approach is driven by research, access to their global network and progressive portfolio construction following proprietary processes. Portfolio managers focus on specific markets while maintaining flexibility to invest opportunistically. The firm's investment process is a combination of top-down and bottom-up approaches. In addition to equity portfolios, Dexus manages yield-oriented strategies invested in government and non-government debt, emerging market debt, hybrid securities, derivatives, infrastructure debt, listed and direct real estate. They also manage hedge funds, including an Australian market neutral strategy which follows an enhanced index investment approach. They are also a major wholesale real estate manager and design real estate-backed investment products. | Analyst-Equity | 01/03/2022 |
ING Investment Management (Australia) Ltd.
ING Investment Management (Australia) Ltd. Investment ManagersFinance INGIM-AU is a long-term investment manager which believes that within a market the performances of each asset class are linked to the progression of the economic cycle. They aim to take advantage of asset class trends through active portfolio management. The firm invests in Australian and global equity, real estate-related securities, fixed-income and cash. Their multi-sector and global equity funds have actively managed exposure to foreign currency. Their in-house research informs investment decisions and is a composite of proprietary quantitative models and internal fundamental analysis complemented by third-party inputs. INGIM-AU's investment process starts with a mid-term macroeconomic view which determines asset allocation. Equity investments follow a growth-oriented approach and proceed from a bottom-up stock selection process focused on earnings momentum. Fixed-income investments follow a top-down approach focused on relative value to the market and the evolution of the economic cycle. | Analyst-Equity | 30/03/2012 |
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
Relations
Relations au 1er degré
Entreprises liées au 1er degré
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Sociétés liées
| Entreprise privées | 3 |
|---|---|
AMP Capital Investors Ltd.
AMP Capital Investors Ltd. Investment ManagersFinance Dexus is an active manager which invests in equity, fixed-income, real estate, infrastructure, and multi-asset and diversified securities. Their investment approach is driven by research, access to their global network and progressive portfolio construction following proprietary processes. Portfolio managers focus on specific markets while maintaining flexibility to invest opportunistically. The firm's investment process is a combination of top-down and bottom-up approaches. In addition to equity portfolios, Dexus manages yield-oriented strategies invested in government and non-government debt, emerging market debt, hybrid securities, derivatives, infrastructure debt, listed and direct real estate. They also manage hedge funds, including an Australian market neutral strategy which follows an enhanced index investment approach. They are also a major wholesale real estate manager and design real estate-backed investment products. | Finance |
Maple-Brown Abbott Ltd.
Maple-Brown Abbott Ltd. Investment ManagersFinance Maple-Brown Abbott is an active investment manager with a long-term investment horizon. The firm believes that responsible investing enhances their investment decision-making and ultimately leads to superior long-term returns for their clients. They manage Australian equity, Asian equity, global listed infrastructure and multi-asset strategies. A key aspect of the firm’s investment process is their bottom-up approach to stock selection and portfolio construction, based on company analysis and estimates prepared by their investment staff. | Finance |
ING Investment Management (Australia) Ltd.
ING Investment Management (Australia) Ltd. Investment ManagersFinance INGIM-AU is a long-term investment manager which believes that within a market the performances of each asset class are linked to the progression of the economic cycle. They aim to take advantage of asset class trends through active portfolio management. The firm invests in Australian and global equity, real estate-related securities, fixed-income and cash. Their multi-sector and global equity funds have actively managed exposure to foreign currency. Their in-house research informs investment decisions and is a composite of proprietary quantitative models and internal fundamental analysis complemented by third-party inputs. INGIM-AU's investment process starts with a mid-term macroeconomic view which determines asset allocation. Equity investments follow a growth-oriented approach and proceed from a bottom-up stock selection process focused on earnings momentum. Fixed-income investments follow a top-down approach focused on relative value to the market and the evolution of the economic cycle. | Finance |
















