Profiel
Mr. Jan-Markus May is a Senior Portfolio Manager at First State Investment Management (UK) Ltd.
He joined First State Investments’ Emerging Markets Debt Team as a Senior Portfolio Manager in September 2011.
He is responsible for research across Russia, Kazakhstan, Ukraine, sub-Saharan Africa, and some Latin American countries.
Mr. May previously worked at UNIQA Financial Services in Vienna for nine years, where he was the Senior Portfolio Manager of the UNIQA Emerging Markets Debt Fund.
Prior to that, he was Client Service Manager at Dresdner Bank in Frankfurt, dealing with institutional mandates managed for clients based outside of Germany.
He joined Dresdner Bank from Orbitex Asset Management in Frankfurt, where he was Portfolio Manager with responsibility for unit-linked life insurance for AXA Group Germany and Orbitex’s wealth management unit.
Mr. May attended Johann Wolfgang-Goethe University in Frankfurt where he was awarded a Diplom-Kaufmann in Finance and Monetary Economics.
Eerdere bekende functies van Jan-Markus May
| Bedrijven | Functie | Einde |
|---|---|---|
First Sentier Investors (UK) IM Ltd.
First Sentier Investors (UK) IM Ltd. Investment ManagersFinance Stewart Investors is an active, growth-oriented manager which seeks to preserve capital by concentrating on niche and specialist areas of the market such as real estate, infrastructure and emerging markets. They manage investments across a range of long-only equity and alternative asset classes, including Asia Pacific and Global Emerging market equities, real estate securities, infrastructure and global natural resources. The firm utilizes an investment process concentrating on absolute return and relative return. They favor a bottom-up stock selection process and focus on long-term performance. | Analist-Vaste Inkomen | 01-09-2014 |
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| Bedrijven in privébezit | 1 |
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First Sentier Investors (UK) IM Ltd.
First Sentier Investors (UK) IM Ltd. Investment ManagersFinance Stewart Investors is an active, growth-oriented manager which seeks to preserve capital by concentrating on niche and specialist areas of the market such as real estate, infrastructure and emerging markets. They manage investments across a range of long-only equity and alternative asset classes, including Asia Pacific and Global Emerging market equities, real estate securities, infrastructure and global natural resources. The firm utilizes an investment process concentrating on absolute return and relative return. They favor a bottom-up stock selection process and focus on long-term performance. | Finance |
















