Profil
Mr. Roy C.
Gillson is a Director at Universities Superannuation Scheme Ltd.
He has a long and varied career in fund management, including over fifteen years with Hill Samuel and Lloyds TSB in the UK and US.
He was previously employed as the Chief Executive Officer at Aerion Fund Management Ltd. He was also the CIO of AXA Investment Managers in the UK.
He has been involved with managing pension fund assets throughout his career, seeing the issue through the perspectives of insurance company provider, retail provider, institutional fund provider and now in-house resource.
In 2009, he was co-opted to the investment committee of the board of USS.
Anciens postes connus de Roy C. Gillson
| 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. | Directeur/Membre du Conseil | 01/03/2013 |
Universities Superannuation Scheme Ltd.
Universities Superannuation Scheme Ltd. Investment ManagersFinance USS integrates environmental, social and corporate governance (ESG) factors into their investment decisions across all asset classes. Through engagement, voting and stewardship, they use their influence as a major institutional investor to promote good ESG practices. The firm works with policy makers and regulators to ensure that the concerns of long-term asset owners and investors are clearly understood. | Corporate Officer/Principal | 22/10/2012 |
Legal & General (Caerus) Ltd.
Legal & General (Caerus) Ltd. Investment ManagersFinance Aerion is a GARP-oriented manager which utilizes a combination of fundamental analysis and quantitative techniques to manage a balanced, diversified fund to provide long-term growth and to meet pension payments as they fall due. They share market knowledge and sector expertise to provide top-down and bottom-up analysis for asset allocation and investment decisions. The firm invests in domestic equities, international equities, corporate bond, government bonds, index-linked bonds, and credit. They regularly meet with company management as part of their equity and corporate bond investment management. They use risk analysis models to construct portfolios and monitor risk. Fund managers oversee diversified portfolios of UK equities, international equities, corporate bonds, government bonds, index-linked bonds and credit. | President | 31/12/2010 |
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 | 3 |
|---|---|
Legal & General (Caerus) Ltd.
Legal & General (Caerus) Ltd. Investment ManagersFinance Aerion is a GARP-oriented manager which utilizes a combination of fundamental analysis and quantitative techniques to manage a balanced, diversified fund to provide long-term growth and to meet pension payments as they fall due. They share market knowledge and sector expertise to provide top-down and bottom-up analysis for asset allocation and investment decisions. The firm invests in domestic equities, international equities, corporate bond, government bonds, index-linked bonds, and credit. They regularly meet with company management as part of their equity and corporate bond investment management. They use risk analysis models to construct portfolios and monitor risk. Fund managers oversee diversified portfolios of UK equities, international equities, corporate bonds, government bonds, index-linked bonds and credit. | Finance |
Universities Superannuation Scheme Ltd.
Universities Superannuation Scheme Ltd. Investment ManagersFinance USS integrates environmental, social and corporate governance (ESG) factors into their investment decisions across all asset classes. Through engagement, voting and stewardship, they use their influence as a major institutional investor to promote good ESG practices. The firm works with policy makers and regulators to ensure that the concerns of long-term asset owners and investors are clearly understood. | 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 |
















