Profil
Mr. Richard Moore is a Fund Manager at Santander Asset Management UK Ltd.
He has over 20 years’ experience of equity fund investments and held several fund manager roles.
Prior to joining Santander, Mr. Moore was a Fund Manager at Old Mutual Asset Managers (UK) Limited for over five years where he headed up the UK Large Cap desk, managing their UK Select Equity and UK Select Large Funds.
During this time, he also ran a long/short hedge fund and assisted in the asset allocation decisions for the Old Mutual Select Managed Fund.
Furthermore, Mr. Moore was a specialist UK Equity Fund Manager at Singer & Friedlander Investment Management between 1997 and 2001.
Here, he was responsible for managing specialist mandates, pension funds as well as a unit trust.
During this time, he was a member of their Model Portfolio Asset Allocation Committee.
Prior to this, he was Head of UK Equities at National Mutual Life Assurance Society for nine years where he ran the ‘Harvester’ UK Equity.
Anciens postes connus de Richard Moore
| Sociétés | Poste | Fin |
|---|---|---|
Santander Asset Management UK Ltd.
Santander Asset Management UK Ltd. Investment ManagersFinance SAM-UK aims to manage their investments to capture maximum upside but also downside protection. The firm selects fund managers based on their ability to demonstrate a sound investment philosophy and apply it to the market, monitoring them regularly against agreed investment objectives and risk. | Gestionnaire de Portefeuille-Actions | 01/01/2015 |
Old Mutual Asset Managers (UK) Ltd.
Old Mutual Asset Managers (UK) Ltd. Multi-Line InsuranceFinance OMAM's fund investment strategy focuses on different financial markets and aims for high performance and absolute return investments. Their investments in financial markets are generally considered to be medium to long-term. OMAM believes investments should be held for a minimum of three years. They offer a range of OEIC funds such as single country and regionally-focused as well as specialized niche funds. They seek to spread the risk through investments in different funds tailored to meet their clients' investment objectives. As their clients' investment needs evolve, they offer the possibility of switching funds. OMAM's ISA provides diverse funds with wide geographical diversification such as single country funds, regional funds and global funds. They offer investors various investment approaches such as long-term capital growth, a regular income or a combination of both. In 2001, OMAM launched their first hedge fund. Their absolute return investments encompass a range of strategies and investment types constructed to meet the different risk and return requirements of investors. | Head-Equity Investments | 09/11/2006 |
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| Entreprise privées | 2 |
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Old Mutual Asset Managers (UK) Ltd.
Old Mutual Asset Managers (UK) Ltd. Multi-Line InsuranceFinance OMAM's fund investment strategy focuses on different financial markets and aims for high performance and absolute return investments. Their investments in financial markets are generally considered to be medium to long-term. OMAM believes investments should be held for a minimum of three years. They offer a range of OEIC funds such as single country and regionally-focused as well as specialized niche funds. They seek to spread the risk through investments in different funds tailored to meet their clients' investment objectives. As their clients' investment needs evolve, they offer the possibility of switching funds. OMAM's ISA provides diverse funds with wide geographical diversification such as single country funds, regional funds and global funds. They offer investors various investment approaches such as long-term capital growth, a regular income or a combination of both. In 2001, OMAM launched their first hedge fund. Their absolute return investments encompass a range of strategies and investment types constructed to meet the different risk and return requirements of investors. | Finance |
Santander Asset Management UK Ltd.
Santander Asset Management UK Ltd. Investment ManagersFinance SAM-UK aims to manage their investments to capture maximum upside but also downside protection. The firm selects fund managers based on their ability to demonstrate a sound investment philosophy and apply it to the market, monitoring them regularly against agreed investment objectives and risk. | Finance |
















