Profil
Mr. Ian C.
Tabberer, CFA, is a Portfolio Manager at Skerryvore Asset Management Ltd. He has over 25 years of investment experience.
Prior to joining the firm, Mr. Tabberer was a Portfolio Manager within the Janus Henderson Global Emerging Markets Equities team from 2017 to 2019.
He joined Henderson in 2015 as an Investment Manager for Global Equities.
Mr. Tabberer has held Senior Portfolio Manager positions at Henderson and Baillie Gifford as a global and North American investor.
Mr. Tabberer started his career in 2001 at Scottish Widows Investment Partnership as a North American investor.
Before joining the investment industry, he was a Submarine Warfare Officer within the Royal Navy.
He holds a BSc (Honors) in Geography from Southampton University and holds the Chartered Financial Analyst designation.
Aktive Positionen von Ian Tabberer
| Unternehmen | Position | Beginn |
|---|---|---|
BennBridge Ltd.
BennBridge Ltd. Investment ManagersFinance Skerryvore Asset Management aims to generate absolute long-term returns by investing responsibly in companies that are exposed to, or operate in, emerging markets. The firm is a fundamental, bottom-up investor with an unwavering focus on the quality of the businesses in which they invest. | Portfolio Manager-Aktien | 31.12.2019 |
Ehemalige bekannte Positionen von Ian Tabberer
| Unternehmen | Position | Ende |
|---|---|---|
Janus Henderson Investors UK Ltd.
Janus Henderson Investors UK Ltd. Investment ManagersFinance JHI UK is an active, value-oriented manager which has core capabilities in global equities, European equities, global fixed-income, multi-asset and alternative investments. They focus on absolute returns, investing globally based on rigorous fundamental research and risk management. The firm believes that top-down economic factors are key drivers of markets and the performance of sectors within markets. Economic expectations are a key input to all equity, bond and currency return forecasts which determine their asset allocation policy. | Portfolio Manager-Aktien | 01.12.2019 |
Baillie Gifford & Co.
Baillie Gifford & Co. Investment ManagersFinance Baillie Gifford is an active, team-oriented, research-based manager which is completely focused on delivering long-term returns. The firm’s investment philosophy focuses on growth while their universe is global. They employ bottom-up conviction to portfolio construction. Their diversified strategies maximize investment opportunities, aiming to achieve steady returns. | Portfolio Manager-Aktien | 01.05.2015 |
abrdn Alternative Investments Ltd.
abrdn Alternative Investments Ltd. Investment ManagersFinance AAI is an active, research-driven manager which employs bottom-up asset analysis combined with a macroeconomic view to seek market mispricing opportunities and provide investors with superior returns. Their overall investment approach is anchored by their fundamental research and in-house expertise across asset classes including UK and international equities, real estate, bonds and cash. The firm typically adopts a long-term investment horizon when selecting equities, basing their investment decisions on in-house criteria and focusing on the firm's prospects over a five-year horizon. For government bonds, they utilize top-down analysis and a combination of bottom-up and macroeconomic research for corporate bonds. | Portfolio Manager-Aktien | 24.10.2008 |
Resolution Asset Management Ltd.
Resolution Asset Management Ltd. Investment ManagersFinance RAM is an active, team-based manager which believes that their fund managers should manage with conviction and focus on outperformance. The firm's teams are organized as a series of boutiques, both in their core business and their joint ventures. There are separate teams for each of their core business areas, each led by a Chief Investment Officer. Teams devise the strategy and process which best suits their particular asset class at any given time. The firm's team members cover different sectors within each asset class, allowing individuals to become specialists. The roles of investment manager and analyst are combined, allowing them to fully understand the stocks in which they invest. Information is shared among teams, through RAM's mentoring system, regular meetings and global sector analysis. Each asset class has its own distinct investment approach. Risk controls are integral to the firm's investment process. Their Risk Management team works closely with the investment team to ensure that managers are aware of the risk they are taking when they move overweight or underweight in any particular stock, sector or country. In addition, the executive board meets heads of desks each month to review fund performance. The firm's buddy investment manager provides additional risk control by questioning existing views and their compliance team also monitors and supervises the investment team. | Portfolio Manager-Aktien | 31.05.2005 |
Edinburgh Fund Managers Plc
Edinburgh Fund Managers Plc Investment ManagersFinance Provides investement advice | Portfolio Manager-Aktien | 30.11.2003 |
Erfahrungen
Besetzte Positionen
Aktive
Inaktive
Börsennotierte Unternehmen
Private Unternehmen
Beziehungen
Beziehungen ersten Grades
Unternehmen ersten Grades
Herr
Frau
Aufsichtsräte
Führungskräfte
Unternehmensverbindungen
| Private Unternehmen | 6 |
|---|---|
Janus Henderson Investors UK Ltd.
Janus Henderson Investors UK Ltd. Investment ManagersFinance JHI UK is an active, value-oriented manager which has core capabilities in global equities, European equities, global fixed-income, multi-asset and alternative investments. They focus on absolute returns, investing globally based on rigorous fundamental research and risk management. The firm believes that top-down economic factors are key drivers of markets and the performance of sectors within markets. Economic expectations are a key input to all equity, bond and currency return forecasts which determine their asset allocation policy. | Finance |
Baillie Gifford & Co.
Baillie Gifford & Co. Investment ManagersFinance Baillie Gifford is an active, team-oriented, research-based manager which is completely focused on delivering long-term returns. The firm’s investment philosophy focuses on growth while their universe is global. They employ bottom-up conviction to portfolio construction. Their diversified strategies maximize investment opportunities, aiming to achieve steady returns. | Finance |
abrdn Alternative Investments Ltd.
abrdn Alternative Investments Ltd. Investment ManagersFinance AAI is an active, research-driven manager which employs bottom-up asset analysis combined with a macroeconomic view to seek market mispricing opportunities and provide investors with superior returns. Their overall investment approach is anchored by their fundamental research and in-house expertise across asset classes including UK and international equities, real estate, bonds and cash. The firm typically adopts a long-term investment horizon when selecting equities, basing their investment decisions on in-house criteria and focusing on the firm's prospects over a five-year horizon. For government bonds, they utilize top-down analysis and a combination of bottom-up and macroeconomic research for corporate bonds. | Finance |
Edinburgh Fund Managers Plc
Edinburgh Fund Managers Plc Investment ManagersFinance Provides investement advice | Finance |
Resolution Asset Management Ltd.
Resolution Asset Management Ltd. Investment ManagersFinance RAM is an active, team-based manager which believes that their fund managers should manage with conviction and focus on outperformance. The firm's teams are organized as a series of boutiques, both in their core business and their joint ventures. There are separate teams for each of their core business areas, each led by a Chief Investment Officer. Teams devise the strategy and process which best suits their particular asset class at any given time. The firm's team members cover different sectors within each asset class, allowing individuals to become specialists. The roles of investment manager and analyst are combined, allowing them to fully understand the stocks in which they invest. Information is shared among teams, through RAM's mentoring system, regular meetings and global sector analysis. Each asset class has its own distinct investment approach. Risk controls are integral to the firm's investment process. Their Risk Management team works closely with the investment team to ensure that managers are aware of the risk they are taking when they move overweight or underweight in any particular stock, sector or country. In addition, the executive board meets heads of desks each month to review fund performance. The firm's buddy investment manager provides additional risk control by questioning existing views and their compliance team also monitors and supervises the investment team. | Finance |
BennBridge Ltd.
BennBridge Ltd. Investment ManagersFinance Skerryvore Asset Management aims to generate absolute long-term returns by investing responsibly in companies that are exposed to, or operate in, emerging markets. The firm is a fundamental, bottom-up investor with an unwavering focus on the quality of the businesses in which they invest. | Finance |
















