Profiel
Mr. Jonathan L.
Compton is a Managing Director at Bedlam Asset Management Plc.
He co-founded Bedlam Asset Management in 2002.
He has over 30 years industry experience.
Mr. Compton worked for 10 years as Managing Director at the investment bank Credit Lyonnais Securities Asia (CLSA) and was formerly a Fund Manager for twelve years.
In 1981, he moved to Hong Kong to the joint venture fund management firm Henderson Baring where he established and/or managed a range of funds including a US mutual fund, mandates for pension funds investing globally, and a variety of state, corporate and other equity funds from the UK, US, Europe, the Gulf and Australia.
He became a Managing Director in 1986.
He is a former Chairman of the HK Society of Investment Analysts and has awards from Lipper and Morningstar for his Global, Hong Kong, Singapore and US mutual funds.
He also has earned Extel awards for research in a variety of countries.
Mr. Compton graduated with a Bachelor of Arts degree in Law at Durham University.
Eerdere bekende functies van Jonathan L. Compton
| Bedrijven | Functie | Einde |
|---|---|---|
Bedlam Asset Management Plc
Bedlam Asset Management Plc Investment ManagersFinance BAM's investment process is fundamentally value-orientated and seeks to screen out absolute risk, using bottom-up and top-down approaches to build portfolios. The firm invests in equity from the standpoint of a trade buyer, looking for self-funding takeovers. This requires that the target company must have a strong free cash flow, sustainable margins, and compelling valuations. Once the firm proves that a company satisfies these requirements, they perform in-house analysis and then look for a trigger, or catalyst, for change. The investment team performs 'stress testing' to reach an investment decision. Stop-loss policies after purchase are not used, though any significant fall (more than 5%) results in an automatic review of the company's operations and valuation | Algemeen Directeur | 01-02-2014 |
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| Bedrijven in privébezit | 1 |
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Bedlam Asset Management Plc
Bedlam Asset Management Plc Investment ManagersFinance BAM's investment process is fundamentally value-orientated and seeks to screen out absolute risk, using bottom-up and top-down approaches to build portfolios. The firm invests in equity from the standpoint of a trade buyer, looking for self-funding takeovers. This requires that the target company must have a strong free cash flow, sustainable margins, and compelling valuations. Once the firm proves that a company satisfies these requirements, they perform in-house analysis and then look for a trigger, or catalyst, for change. The investment team performs 'stress testing' to reach an investment decision. Stop-loss policies after purchase are not used, though any significant fall (more than 5%) results in an automatic review of the company's operations and valuation | Finance |
















