Profil
Christopher W.
Covington is the founder of AJOVista LLC, serving as Head of Investments from 2021 to 2023.
Current job is at Acadian Asset Management LLC as Senior Vice President & Portfolio Manager since 2023.
Former jobs include Portfolio Manager & Analyst at Numeric Investors LLC in 2013 and Associate at AJO LP.
Education includes a graduate degree from Boston University and an undergraduate degree from The Colorado College.
Aktiva positioner av Chris Covington
| Företag | Position | Start |
|---|---|---|
Acadian Asset Management LLC
Acadian Asset Management LLC Investment ManagersFinance Acadian manages both equity strategies to deliver active returns and alternative strategies designed to deliver absolute, uncorrelated returns. The firm’s sustainable investing capabilities are integrated throughout all strategies and provide a platform for both client-specific solutions and innovative engagement. Their process uses both top-down and bottom-up signals that encompass not only fundamental valuation factors but also measures of earnings trends, price movements, quality metrics, and other factors. | Portföljförvaltare-Aktier | 2023-10-01 |
Tidigare kända positioner av Chris Covington
| Företag | Position | Slut |
|---|---|---|
AJOVista LLC
AJOVista LLC Investment ManagersFinance AJOVista seeks superior results in high alpha, difficult-to-trade strategies across the globe. Their investment decisions harmonize classical security analysis and systematic techniques; fundamental depth and quant-enabled breadth; and, a combination of value and quality and momentum and sentiment. | Grundare | 2023-10-01 |
Numeric Investors LLC
Numeric Investors LLC Investment ManagersFinance Numeric Investors offers a variety of actively managed quantitative investment strategies including long-only, market neutral, active extension (130/30) equity and fundamental statistical arbitrage. Their strategies cover a variety of geographic regions, investment styles and market-cap ranges. All portfolios at Numeric are managed under the direction of their Chief Investment Officer, with oversight from the firm’s Investment Committee. Their investment approach is based on the idea that in the aggregate, markets are efficient and real economic performance drives returns, but over certain time periods markets are inefficient. This results in stock prices that fluctuate more than the underlying information set. | Företagsledare/Principal | 2013-12-31 |
AJO LP
AJO LP Investment ManagersFinance AJO offers benchmark-relative and absolute-return strategies across the market-cap spectrum of US, global and emerging markets equities, subject to the investment policies, limitations, and restrictions of their clients. They are value-oriented but believe superior results are best achieved by considering value, management, momentum, and sentiment. AJO favor asset-rich companies with higher earnings compared to price. Portfolios can be long-only or long/short. As a quantitative asset manager, AJO’s bottom-up research effort focuses on enhancing their firm-wide valuation, risk, and transaction-cost models, and ensuring that the data that feeds these models are accurate and representative for each company. | Analyst-Equity | - |
Chris Covingtons utbildningar
Erfarenheter
Innehade positioner
Aktiva
Inaktiva
Börsnoterade företag
Privata företag
Relationer
Första gradens relationer
Företag kopplade till första graden
Man
Kvinna
Styrelseledamöter
Chefer
Kopplade företag
| Privata företag | 6 |
|---|---|
Numeric Investors LLC
Numeric Investors LLC Investment ManagersFinance Numeric Investors offers a variety of actively managed quantitative investment strategies including long-only, market neutral, active extension (130/30) equity and fundamental statistical arbitrage. Their strategies cover a variety of geographic regions, investment styles and market-cap ranges. All portfolios at Numeric are managed under the direction of their Chief Investment Officer, with oversight from the firm’s Investment Committee. Their investment approach is based on the idea that in the aggregate, markets are efficient and real economic performance drives returns, but over certain time periods markets are inefficient. This results in stock prices that fluctuate more than the underlying information set. | Finance |
AJO LP
AJO LP Investment ManagersFinance AJO offers benchmark-relative and absolute-return strategies across the market-cap spectrum of US, global and emerging markets equities, subject to the investment policies, limitations, and restrictions of their clients. They are value-oriented but believe superior results are best achieved by considering value, management, momentum, and sentiment. AJO favor asset-rich companies with higher earnings compared to price. Portfolios can be long-only or long/short. As a quantitative asset manager, AJO’s bottom-up research effort focuses on enhancing their firm-wide valuation, risk, and transaction-cost models, and ensuring that the data that feeds these models are accurate and representative for each company. | Finance |
Acadian Asset Management LLC
Acadian Asset Management LLC Investment ManagersFinance Acadian manages both equity strategies to deliver active returns and alternative strategies designed to deliver absolute, uncorrelated returns. The firm’s sustainable investing capabilities are integrated throughout all strategies and provide a platform for both client-specific solutions and innovative engagement. Their process uses both top-down and bottom-up signals that encompass not only fundamental valuation factors but also measures of earnings trends, price movements, quality metrics, and other factors. | Finance |
Boston University
Boston University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
The Colorado College
The Colorado College Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
AJOVista LLC
AJOVista LLC Investment ManagersFinance AJOVista seeks superior results in high alpha, difficult-to-trade strategies across the globe. Their investment decisions harmonize classical security analysis and systematic techniques; fundamental depth and quant-enabled breadth; and, a combination of value and quality and momentum and sentiment. | Finance |
















