Profil
Mr. Will Earnshaw, CFA, is a Managing Director & Analyst at Solaris Investment Management Ltd. He was appointed Managing Director in August 2013, while maintaining his position as Analyst held since Solaris’ inception in January 2008.
Prior to establishing the firm, he was a member of the 9 person Suncorp team (2000 to 2007) responsible for managing equity investments.
Mr. Earnshaw spent the first 5 years of his career working in the Chartered Accounting profession, before gaining international financial markets experience as a Risk Analyst with Robert Fleming & Co and NatWest Equities in their OTC equity derivatives businesses.
Mr. Earnshaw holds a Bachelor of Commerce and Bachelor of Economics from the University of Queensland, and is an Associate of the Institute of Chartered Accountants in Australia.
He is also a CFA charter holder.
Aktive Positionen von Will Earnshaw
| Unternehmen | Position | Beginn |
|---|---|---|
Solaris Investment Management Ltd.
Solaris Investment Management Ltd. Investment ManagersFinance Solaris is an active, style-neutral Australian equities manager which aims to achieve superior returns for their clients. The firm selects stocks using fundamental analysis to exploit market inefficiencies in forecasts and valuations. They make all investment decisions based on detailed analysis of the securities and key financial markets, with an eye on the global perspective. Solaris’s typical portfolio size is 40 to 70 stocks. Their analysts are empowered as the portfolio managers for their sectors and engage in pure, bottom-up stock picking without top-down overlays. Strict risk controls are applied to minimize the exposure to downside risk. | Gründer | 01.01.2008 |
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| Private Unternehmen | 1 |
|---|---|
Solaris Investment Management Ltd.
Solaris Investment Management Ltd. Investment ManagersFinance Solaris is an active, style-neutral Australian equities manager which aims to achieve superior returns for their clients. The firm selects stocks using fundamental analysis to exploit market inefficiencies in forecasts and valuations. They make all investment decisions based on detailed analysis of the securities and key financial markets, with an eye on the global perspective. Solaris’s typical portfolio size is 40 to 70 stocks. Their analysts are empowered as the portfolio managers for their sectors and engage in pure, bottom-up stock picking without top-down overlays. Strict risk controls are applied to minimize the exposure to downside risk. | Finance |
















