Wednesday, March 4th 2020,
Hotel Sheraton Brussels Airport
Portfolio Manager in the Real Return team at Newton, an Investment Firm of BNY Mellon Investment Management
BNY Mellon Investment Management
Philip is a global portfolio manager and has responsibility for managing corporate debt, convertible bond and precious metal holdings in the Real Return strategy. Philip works closely with the credit team and research analysts, combing through the recommended securities for those that best fit the characteristics which we are seeking in the Real Return Strategy in combination with the risk and return characteristics of the existing portfolio. Philip joined the Real Return team in 2008, is a CFA charterholder, and is a co-lead manager of the Newton Sustainable Real Return strategy and of the sterling offshore Real Return portfolio and Australian-dollar mandate.
"Sustainable Investing: Managing disruption in the investment landscape."
Philip Shucksmith, Portfolio Manager in the Real Return team at Newton, an Investment Firm of BNY Mellon Investment Management, will talk about some of the themes they are observing through there thematic investment process, the potential investment implications and how they use those insights to build an absolute return portfolio.
BNY Mellon Investment Management:
BNY Mellon Investment Management is the investment management arm of BNY Mellon, one of the world’s largest financial services groups. With a presence around the world, we look to connect investors with opportunities across every major asset class. We have built our business around investors’ needs, offering eight expert investment firms, each with their own distinct culture, investment philosophy and process. Newton is on of the investment firm, Newton is renowned for its distinctive approach to global thematic investing. Based in London and with over 30 years’ experience, Newton’s thematic approach is applied consistently across all strategies.