Profil
Mr. Sam Churchill is Portfolio Manager & Head of Macro Research at Magellan Asset Management Ltd. In August 2016 was appointed to the additional role of Portfolio Manager with responsibility for Carbon.
Prior to joining Magellan in April 2013, Mr. Churchill was a Project Leader with the Cape York Institute for Policy and Leadership.
He previously worked as a Senior Analyst in the Department of the Prime Minister and Cabinet and as an Associate at the Boston Consulting Group.
He has a Masters Degree in Economic Development from the University of Oxford.
He also has a First Class Honours Degree and university medal in Economics, and a Commerce degree majoring in Finance from the University of Queensland.
Anciens postes connus de Sam Churchill
| Sociétés | Poste | Fin |
|---|---|---|
Magellan Asset Management Ltd.
Magellan Asset Management Ltd. Investment ManagersFinance MFG Asset Management's investment approach is designed to build a portfolio of investments that they believe can deliver attractive risk-adjusted returns over the medium to long term while reducing the risk of permanent capital loss. Their portfolio construction process integrates rigorous bottom-up stock analysis (incorporating its assessment of quality and value) and detailed macroeconomic research within a robust risk management framework. | Economiste | 01/11/2017 |
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| Entreprise privées | 1 |
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Magellan Asset Management Ltd.
Magellan Asset Management Ltd. Investment ManagersFinance MFG Asset Management's investment approach is designed to build a portfolio of investments that they believe can deliver attractive risk-adjusted returns over the medium to long term while reducing the risk of permanent capital loss. Their portfolio construction process integrates rigorous bottom-up stock analysis (incorporating its assessment of quality and value) and detailed macroeconomic research within a robust risk management framework. | Finance |
















