Perfil
Mr. Robert C.
Brown is a Senior Investment Director at Brooks Macdonald Asset Management Ltd. He joined Brooks Macdonald in 2009 and manages bespoke discretionary portfolios on behalf of a range of clients.
He also sits on Far East and emerging markets research team and has over ten years’ experience in financial services.
Prior to joining Brooks Macdonald, Mr. Brown worked at Deutsche Bank Private Wealth Management, where he helped service business introduced by key IFA partners.
He holds the Chartered Institute for Securities & Investment (CISI) Chartered Wealth Manager Qualification, the Investment Management Certificate (IMC), the Investment Administration Qualification (IAQ) and is an Associate of the CISI.
Cargos activos de Cameron Brown
| Empresas | Cargo | Inicio |
|---|---|---|
Brooks Macdonald Asset Management Ltd.
Brooks Macdonald Asset Management Ltd. Investment ManagersFinance BMAM is an active, medium- to long-term manager which aims to provide strong and consistent risk-adjusted returns by constructing balanced, individual portfolios composed of the best investments across asset classes. The firm aims to combine selected external managers with a carefully selected mix of direct, passive and alternative assets across a managed selection of the most relevant asset classes. Investment managers combine their understanding of client requirements with asset allocation guidance from the investment committee and investment selections from their research teams. BMAM’s in-house research teams and experienced investment managers form the backbone of the firm’s centralized investment process which aims to generate transparent and consistent performance outcomes, and to provide high-quality investment solutions that resonate with the requirements of professional adviser firms and their clients. | Analyst-Equity | 25/03/2013 |
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| Empresas privadas | 1 |
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Brooks Macdonald Asset Management Ltd.
Brooks Macdonald Asset Management Ltd. Investment ManagersFinance BMAM is an active, medium- to long-term manager which aims to provide strong and consistent risk-adjusted returns by constructing balanced, individual portfolios composed of the best investments across asset classes. The firm aims to combine selected external managers with a carefully selected mix of direct, passive and alternative assets across a managed selection of the most relevant asset classes. Investment managers combine their understanding of client requirements with asset allocation guidance from the investment committee and investment selections from their research teams. BMAM’s in-house research teams and experienced investment managers form the backbone of the firm’s centralized investment process which aims to generate transparent and consistent performance outcomes, and to provide high-quality investment solutions that resonate with the requirements of professional adviser firms and their clients. | Finance |
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