Profile
Dr. Andrew P.
Wilson is a Fixed Income Fund Manager at Dalton Strategic Partnership LLP.
He joined Dalton Strategic Partnership in September 2011 and has over 28 years of investment experience.
Dr. WIlson started his investment career as a Fixed Income Analyst with Kleinwort Benson in 1986.
He has managed fixed income since 1988 at London and Edinburgh Insurance, Pilkington Pensions, King & Shaxson and Williams De Broe.
Dr. Wilson has degrees in Mathematics from London, Cambridge and Warwick (PhD).
Former positions of Andrew Philip Wilson
| Companies | Position | End |
|---|---|---|
Dalton Strategic Partnership LLP
Dalton Strategic Partnership LLP Investment ManagersFinance Dalton Strategic Partnership is an active, multi-strategy manager which focuses on capital preservation. They construct global, conviction-driven portfolios, resulting in portfolios which tend to be concentrated and independent from any specific benchmark. Their investment process combines active, top-down asset allocation with bottom-up stock selection. The firm invests in western developed markets including the UK, the US, Canada and Europe, especially in small- and mid-cap companies. They also have specific regional expertise in Asia. | Portfolio Manager-Fixed Income | 2016-09-30 |
Williams de Broë Ltd.
Williams de Broë Ltd. Investment ManagersFinance As the manager of discretionary accounts and private accounts WDB develops solutions tailored to suit the requirements of their clients. As the manager of mutual funds they aim to achieve long-term capital growth while outperforming specific indexes such as the FTSE World Index, the FTSE World Ex-UK Index, and the FTSE All Share Index. The firm places emphasis on careful stock selection and they combine in-house fundamental, quantitative and technical analysis with research from their sister firm, Evolution Securities, to provide recommendations. The WDB research department determines the overall investment strategy, although their investment managers are free to make specific investment decisions that best suit client needs, superimposing their in-house investment policy on research received from a variety of global securities houses. | Portfolio Manager-Equities | 2011-07-31 |
King & Shaxson Asset Management Ltd.
King & Shaxson Asset Management Ltd. Financial ConglomeratesFinance KSAM is an active manager and is not tied to any ideology such as 'value' or 'growth'. Their investment approach to equities and fixed-income is active and the team aims to deliver a return exceeding the benchmark. Fund managers have broad specializations, and cover equities in all the major markets, UK gilts and index-linked bonds, international government and supranational bonds and UK and international corporate fixed-income securities. ^KSAM's specialist cash management team aims to deliver an optimized return in a low risk, liquid environment by using certificates of deposit, treasury bills, floating rate notes and short-dated gilts. The firm manages personal portfolios according to clients' ethical and financial criteria, and they also run two funds. The Ethical Balanced Income Fund is a cautiously managed ethical fund that generates income, and the Green Solutions Fund is a global fund that only invests in companies providing solutions to social and environmental challenges The firm offers a full range of fixed-income asset management services including government bonds, corporate bonds and index-linked securities over the full spectrum of maturities from cash to 50-year bonds. The firm has in-house ethical investment capability. | Portfolio Manager-Equities | 2007-06-30 |
Dalton Strategic Partnership LLP
Dalton Strategic Partnership LLP Investment ManagersFinance Dalton Strategic Partnership is an active, multi-strategy manager which focuses on capital preservation. They construct global, conviction-driven portfolios, resulting in portfolios which tend to be concentrated and independent from any specific benchmark. Their investment process combines active, top-down asset allocation with bottom-up stock selection. The firm invests in western developed markets including the UK, the US, Canada and Europe, especially in small- and mid-cap companies. They also have specific regional expertise in Asia. | Portfolio Manager-Fixed Income | - |
Experiences
Positions held
Active
Inactive
Listed companies
Private companies
Connections
1st degree connections
1st degree companies
Male
Female
Members of the board
Executives
Linked companies
| Private companies | 3 |
|---|---|
King & Shaxson Asset Management Ltd.
King & Shaxson Asset Management Ltd. Financial ConglomeratesFinance KSAM is an active manager and is not tied to any ideology such as 'value' or 'growth'. Their investment approach to equities and fixed-income is active and the team aims to deliver a return exceeding the benchmark. Fund managers have broad specializations, and cover equities in all the major markets, UK gilts and index-linked bonds, international government and supranational bonds and UK and international corporate fixed-income securities. ^KSAM's specialist cash management team aims to deliver an optimized return in a low risk, liquid environment by using certificates of deposit, treasury bills, floating rate notes and short-dated gilts. The firm manages personal portfolios according to clients' ethical and financial criteria, and they also run two funds. The Ethical Balanced Income Fund is a cautiously managed ethical fund that generates income, and the Green Solutions Fund is a global fund that only invests in companies providing solutions to social and environmental challenges The firm offers a full range of fixed-income asset management services including government bonds, corporate bonds and index-linked securities over the full spectrum of maturities from cash to 50-year bonds. The firm has in-house ethical investment capability. | Finance |
Williams de Broë Ltd.
Williams de Broë Ltd. Investment ManagersFinance As the manager of discretionary accounts and private accounts WDB develops solutions tailored to suit the requirements of their clients. As the manager of mutual funds they aim to achieve long-term capital growth while outperforming specific indexes such as the FTSE World Index, the FTSE World Ex-UK Index, and the FTSE All Share Index. The firm places emphasis on careful stock selection and they combine in-house fundamental, quantitative and technical analysis with research from their sister firm, Evolution Securities, to provide recommendations. The WDB research department determines the overall investment strategy, although their investment managers are free to make specific investment decisions that best suit client needs, superimposing their in-house investment policy on research received from a variety of global securities houses. | Finance |
Dalton Strategic Partnership LLP
Dalton Strategic Partnership LLP Investment ManagersFinance Dalton Strategic Partnership is an active, multi-strategy manager which focuses on capital preservation. They construct global, conviction-driven portfolios, resulting in portfolios which tend to be concentrated and independent from any specific benchmark. Their investment process combines active, top-down asset allocation with bottom-up stock selection. The firm invests in western developed markets including the UK, the US, Canada and Europe, especially in small- and mid-cap companies. They also have specific regional expertise in Asia. | Finance |
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