Profile
Mr. Alexander George is an Associate Director at Dart Capital Ltd. He now heads the research team at Dart and was recently appointed Chairman of the firm’s Investment Committee.
Mr. George is responsible for maintaining coverage of the firm’s Buy List of funds, as well as directing the asset allocation outlook which guides the positioning of Dart’s model portfolios.
He joined Dart Capital in 2011.
Prior to joining Dart, he completed an internship at Brewin Dolphin and then spent a period working for an investment consultancy in London where he specialized in hedge fund research.
He holds a degree in Economics from the University of Bath.
He became a CFA® charterholder in 2014, having passed each of the CFA exams at the first attempt.
Former positions of Alexander George
| Companies | Position | End |
|---|---|---|
Dart Capital Ltd.
Dart Capital Ltd. Investment ManagersFinance Dart Capital manages portfolios using a series of risk-rated and diversified asset allocation models, comprised of the most suitable investments across all asset classes. The portfolios are primarily invested in Collective investment schemes (CIS) and contain a mix of equities, fixed-income securities and alternative assets (i.e. property and targeted absolute return funds). They tend to avoid the more esoteric, higher risk investments such as hedge funds and private equity. Their investment management team looks carefully at the long-term risk and return expectations for each asset class, as well as their interaction with each other. | Director of Research - Equity | 2023-11-30 |
Experiences
Positions held
Active
Inactive
Listed companies
Private companies
Connections
1st degree connections
1st degree companies
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Members of the board
Executives
Linked companies
| Private companies | 1 |
|---|---|
Dart Capital Ltd.
Dart Capital Ltd. Investment ManagersFinance Dart Capital manages portfolios using a series of risk-rated and diversified asset allocation models, comprised of the most suitable investments across all asset classes. The portfolios are primarily invested in Collective investment schemes (CIS) and contain a mix of equities, fixed-income securities and alternative assets (i.e. property and targeted absolute return funds). They tend to avoid the more esoteric, higher risk investments such as hedge funds and private equity. Their investment management team looks carefully at the long-term risk and return expectations for each asset class, as well as their interaction with each other. | Finance |
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