Perfil
Mr. Michael D.
Bayliffe is an Investment Director at Ruffer LLP.
He joined the firm in 2002.
Mr. Bayliffe previously worked at the Bank of England in research, then moved into investment management at Phillips & Drew, becoming a partner.
Moved in 1988 to Capel–Cure Myers, where he was responsible for a team dealing with charity, ethical and pension fund management and concentrated personally on individual and small group pension schemes.
Antiguos cargos conocidos de Michael David Bayliffe.
| Empresas | Cargo | Fin |
|---|---|---|
Ruffer LLP
Ruffer LLP Investment ManagersFinance Ruffer aims to deliver consistent positive returns – whatever happens in financial markets. The firm actively manages investments, mainly in conventional assets, and operates freely, without restrictive benchmarks. In all they do, they seek to be responsible investors, integrating environmental, social and corporate governance (ESG) issues into their investment process. Ruffer always holds investments in what they call growth and protection. They hold these alongside each other, changing the allocation to each over time. The growth assets are typically equities. The protective assets are usually a combination of conventional and index–linked bonds, currencies, derivatives and exposure to commodities. | Gestor de Cartera-Acciones | 01/04/2019 |
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Ruffer LLP
Ruffer LLP Investment ManagersFinance Ruffer aims to deliver consistent positive returns – whatever happens in financial markets. The firm actively manages investments, mainly in conventional assets, and operates freely, without restrictive benchmarks. In all they do, they seek to be responsible investors, integrating environmental, social and corporate governance (ESG) issues into their investment process. Ruffer always holds investments in what they call growth and protection. They hold these alongside each other, changing the allocation to each over time. The growth assets are typically equities. The protective assets are usually a combination of conventional and index–linked bonds, currencies, derivatives and exposure to commodities. | Finance |
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