Profil
Mr. Robbie G.
Henderson, CFA, is a Co-Portfolio Manager at TT International Asset Management Ltd. He is also an Analyst on Asia Strategy.
With over 24 years of investment experience, Mr. Henderson joined TT in 2022 from Newton Investment Management, where he was an Investment Analyst.
He has an MSc in Behavioural Economics from City University, an MA in Psychology from University of Edinburgh.
Postes actifs de Robbie Henderson
| Sociétés | Poste | Début |
|---|---|---|
TT International Asset Management Ltd.
TT International Asset Management Ltd. Investment ManagersFinance TT International is a specialist global investment manager with cross-asset long-only and long/short capabilities. The firm uses an active fundamental approach to investment. They select investments through a three-stage process consisting of: (1) valuation of the company (to determine whether or not a pricing anomaly exists), (2) verification (confirming why such anomaly exists) and (3) catalyst (establishing what will release that value and when). | Analyst-Equity | 01/12/2022 |
Anciens postes connus de Robbie Henderson
| Sociétés | Poste | Fin |
|---|---|---|
USS Investment Management Ltd.
USS Investment Management Ltd. Investment ManagersFinance USS-IM is an active, long-term manager which utilizes a highly regulated investment approach aiming to generate above average returns at minimum risk by managing a diversified fund composed of UK and overseas equities, bonds, real estate and alternative assets. The firm's in-house team of portfolio manager/analysts is the Scheme's preferred investment manager, and external managers are accessed too. Portfolios are diversified both geographically and by sector. They diversify across traditional and alternative assets and strategies aiming to maintain investment returns while mitigating risk. USS-IM invests in fixed-income to protect against economic and equity weakness and to stabilize assets versus liabilities. They also invest in emerging government/corporate bond markets when they believe they offer an attractive risk premium. | Analyst-Equity | 01/04/2020 |
Baring Asset Management Ltd.
Baring Asset Management Ltd. Investment ManagersFinance Barings UK focuses on building long-term, trusted partnerships with their clients and utilizes an active management approach, built upon fundamental analysis, to help meet their long-term investment goals. The firm leverages its depth and breadth of expertise across the global fixed income, alternative investment and equity markets. Their expansive asset market coverage, includes global fixed income presence and high active equity expertise in international and emerging markets, contributes to the firm’s strength in multi-asset investing. This encompasses solutions such as income, target return and absolute return. | Analyst-Equity | 01/09/2014 |
Baring North America LLC
Baring North America LLC Investment ManagersFinance Baring North America's (BNA) investment approach focuses on identifying favorable earnings surprise and valuation characteristics through fundamental research. They seek companies and markets whose attractive growth prospects are not fully reflected in their prices. The firm's core equity portfolios are diversified large-cap portfolios that typically offer above market growth characteristics at or at a reasonable premium to market valuations. BNA's growth criteria embrace companies delivering growth in earnings per share in the top 60% of their universes. The firm's systematic equity investment process embraces hands-on fundamental stock research and analysis to generate proprietary earnings forecasts and relative valuation targets and quantitative analysis and screening to focus their research and generate buy and sell ideas. BNA's investment teams use a common framework and template for equity research, which focuses on growth, management, value creation and valuation criteria. Their regional equity teams are responsible for portfolio strategy and stock selection for specialist regional equity portfolios as well as the regional portion of their global and multi-asset mandates. The asset allocation team is responsible for regional/country strategy in their global and multi-asset portfolios and for sector policy at the global and multi-asset mandate level. The output of their fundamental and quantitative research is used to rank each stock and to shape buy and sell decisions. Teams review stocks continuously following company meetings and announcements. BNA's fixed-income processes are characterized by fundamental research and disciplined portfolio construction techniques. They also use technical analysis, particularly in currency allocation research. The firm's credit research leverages off the equity research capabilities of the firm. They invest in bonds issued by governments, agencies, corporates as well as emerging market sovereign, mortgages and asset-backed securities. BNA includes bonds across the rating spectrum from Aaa to Caa, according to the risk tolerance and guidelines of their clients. | Corporate Officer/Principal | 31/12/2009 |
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
Relations
Relations au 1er degré
Entreprises liées au 1er degré
Homme
Femme
Administrateurs
Exécutifs
Sociétés liées
| Entreprise privées | 4 |
|---|---|
Baring North America LLC
Baring North America LLC Investment ManagersFinance Baring North America's (BNA) investment approach focuses on identifying favorable earnings surprise and valuation characteristics through fundamental research. They seek companies and markets whose attractive growth prospects are not fully reflected in their prices. The firm's core equity portfolios are diversified large-cap portfolios that typically offer above market growth characteristics at or at a reasonable premium to market valuations. BNA's growth criteria embrace companies delivering growth in earnings per share in the top 60% of their universes. The firm's systematic equity investment process embraces hands-on fundamental stock research and analysis to generate proprietary earnings forecasts and relative valuation targets and quantitative analysis and screening to focus their research and generate buy and sell ideas. BNA's investment teams use a common framework and template for equity research, which focuses on growth, management, value creation and valuation criteria. Their regional equity teams are responsible for portfolio strategy and stock selection for specialist regional equity portfolios as well as the regional portion of their global and multi-asset mandates. The asset allocation team is responsible for regional/country strategy in their global and multi-asset portfolios and for sector policy at the global and multi-asset mandate level. The output of their fundamental and quantitative research is used to rank each stock and to shape buy and sell decisions. Teams review stocks continuously following company meetings and announcements. BNA's fixed-income processes are characterized by fundamental research and disciplined portfolio construction techniques. They also use technical analysis, particularly in currency allocation research. The firm's credit research leverages off the equity research capabilities of the firm. They invest in bonds issued by governments, agencies, corporates as well as emerging market sovereign, mortgages and asset-backed securities. BNA includes bonds across the rating spectrum from Aaa to Caa, according to the risk tolerance and guidelines of their clients. | Finance |
Baring Asset Management Ltd.
Baring Asset Management Ltd. Investment ManagersFinance Barings UK focuses on building long-term, trusted partnerships with their clients and utilizes an active management approach, built upon fundamental analysis, to help meet their long-term investment goals. The firm leverages its depth and breadth of expertise across the global fixed income, alternative investment and equity markets. Their expansive asset market coverage, includes global fixed income presence and high active equity expertise in international and emerging markets, contributes to the firm’s strength in multi-asset investing. This encompasses solutions such as income, target return and absolute return. | Finance |
USS Investment Management Ltd.
USS Investment Management Ltd. Investment ManagersFinance USS-IM is an active, long-term manager which utilizes a highly regulated investment approach aiming to generate above average returns at minimum risk by managing a diversified fund composed of UK and overseas equities, bonds, real estate and alternative assets. The firm's in-house team of portfolio manager/analysts is the Scheme's preferred investment manager, and external managers are accessed too. Portfolios are diversified both geographically and by sector. They diversify across traditional and alternative assets and strategies aiming to maintain investment returns while mitigating risk. USS-IM invests in fixed-income to protect against economic and equity weakness and to stabilize assets versus liabilities. They also invest in emerging government/corporate bond markets when they believe they offer an attractive risk premium. | Finance |
TT International Asset Management Ltd.
TT International Asset Management Ltd. Investment ManagersFinance TT International is a specialist global investment manager with cross-asset long-only and long/short capabilities. The firm uses an active fundamental approach to investment. They select investments through a three-stage process consisting of: (1) valuation of the company (to determine whether or not a pricing anomaly exists), (2) verification (confirming why such anomaly exists) and (3) catalyst (establishing what will release that value and when). | Finance |
















