Profil
Mr. Charles Story is an Analyst & Portfolio Manager at Solaris Investment Management Ltd. Since commencing at the firm, he has developed an in depth understanding of the resources, telecommunications and banking sectors.
He worked at Goldman Sachs and spending 5 years gaining global experience in their London, Singapore and Tokyo offices.
Mr. Story received his Bachelor of Business degree major in Economics from the University of Queensland in 2004 and has completed a Master of Applied Finance major in Funds Management from Macquarie University.
Aktiva positioner av Charles Story
| Företag | Position | Start |
|---|---|---|
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. | Analyst-Equity | 2012-08-01 |
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Kopplade företag
| Privata företag | 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 |
















