Profil
Ms. Ashley B. Bussin, CFA, is a Associate Portfolio Manager at BMO Asset Management, Inc. She is responsible for covering the Consumer Discretionary and Staples sectors.
She has over 15 years of experience and was a Partner at a leading Canadian hedge fund.
Ms. Bussin was employed as a Senior Research Analyst by Picton Mahoney Asset Management and an Investment Banking Analyst by Versant Partners, Inc.
She holds a Bachelor of Commerce from McGill University and is a CFA charter holder.
Aktiva positioner av Ashley Bussin
| Företag | Position | Start |
|---|---|---|
BMO Asset Management, Inc.
BMO Asset Management, Inc. Investment ManagersFinance BMO Asset Management seeks to achieve consistent, above average returns through a risk-controlled approach to asset management. The firm attempts to reduce risk through the use of different asset classes, diversification and intensive individual security analysis. Their equity investment approach focuses on investments in companies with the potential to create long-term wealth. Though not limited by sector, BMO Asset Management tends to invest in the stocks of companies in the finance, energy minerals, non-energy minerals and industrial services sectors. Their fixed-income investment approach seeks capital preservation and returns commensurate with a given level of risk. | Analyst-Equity | 2019-09-01 |
Tidigare kända positioner av Ashley Bussin
| Företag | Position | Slut |
|---|---|---|
Picton Mahoney Asset Management
Picton Mahoney Asset Management Investment ManagersFinance Picton Mahoney's investment approach is based on computer-driven quantitative analysis. They offer an array of innovative products, including Canadian and global funds, as well as multi-style Canadian and global style management funds. Their systematic approach to security selection and portfolio construction underlies all their investment solutions, regardless of investment type or geographic mandate. For every strategy, they employ the use of leading technology, fundamental research, credit analysis and sophisticated risk controls to maximize risk-adjusted return potential for their clients. Some of Picton Mahoney's general investment strategies include: long investing, short selling, pairs trading, private placements and IPOs, long/short investing, derivatives, and leverage. The allocation for a typical balanced portfolio in Canada is 60% equities and 40% fixed income and cash, but has over 93% exposure to equity risk. | Analyst-Equity | 2019-09-01 |
Versant Partners, Inc.
Versant Partners, Inc. Investment Banks/BrokersFinance Provides brokerage services and investment advice | Företagsledare/Principal | 2011-01-01 |
Ashley Bussins utbildningar
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Börsnoterade företag
Privata företag
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Kopplade företag
| Privata företag | 4 |
|---|---|
BMO Asset Management, Inc.
BMO Asset Management, Inc. Investment ManagersFinance BMO Asset Management seeks to achieve consistent, above average returns through a risk-controlled approach to asset management. The firm attempts to reduce risk through the use of different asset classes, diversification and intensive individual security analysis. Their equity investment approach focuses on investments in companies with the potential to create long-term wealth. Though not limited by sector, BMO Asset Management tends to invest in the stocks of companies in the finance, energy minerals, non-energy minerals and industrial services sectors. Their fixed-income investment approach seeks capital preservation and returns commensurate with a given level of risk. | Finance |
Versant Partners, Inc.
Versant Partners, Inc. Investment Banks/BrokersFinance Provides brokerage services and investment advice | Finance |
McGill University
McGill University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Picton Mahoney Asset Management
Picton Mahoney Asset Management Investment ManagersFinance Picton Mahoney's investment approach is based on computer-driven quantitative analysis. They offer an array of innovative products, including Canadian and global funds, as well as multi-style Canadian and global style management funds. Their systematic approach to security selection and portfolio construction underlies all their investment solutions, regardless of investment type or geographic mandate. For every strategy, they employ the use of leading technology, fundamental research, credit analysis and sophisticated risk controls to maximize risk-adjusted return potential for their clients. Some of Picton Mahoney's general investment strategies include: long investing, short selling, pairs trading, private placements and IPOs, long/short investing, derivatives, and leverage. The allocation for a typical balanced portfolio in Canada is 60% equities and 40% fixed income and cash, but has over 93% exposure to equity risk. | Finance |
















