Profile
Mr. Benjamin C.
Williams is a Portfolio Manager at Arcus Investment Ltd. He joined the firm in 2020.
Previously, Mr. Williams was an Investment Director at GAM Investment Management and Fund Manager at RSA.
He received a BA (Hons) degree in Economics from Durham University and a BSc degree in Investment Analysis from Stirling University.
Ben Williams active positions
| Companies | Position | Start |
|---|---|---|
Arcus Investment Ltd.
Arcus Investment Ltd. Investment ManagersFinance Arcus seeks to deliver superior returns through disciplined, active investment in undervalued Japanese equities. The firm looks for opportunities arising out of dislocations between a company’s share price and measures of potential fair value. | Portfolio Manager-Equities | 2019-12-31 |
Former positions of Ben Williams
| Companies | Position | End |
|---|---|---|
GAM International Management Ltd.
GAM International Management Ltd. Investment ManagersFinance GIML offers various investment products and services through managed account and investment fund structures using both fund of funds and single-manager strategies. Each of the investment teams pursues their own individual approach and preferred investment style so that they have the flexibility to implement their talents to the greatest effect, but within the wider risk control framework provided by the GAM Group. Their security analysis primarily includes fundamental analysis, but it may utilize other methods, like technical analysis, depending on the strategy and individual fund manager. | Analyst-Equity | - |
GAM London Ltd.
GAM London Ltd. Investment ManagersFinance GAM London is a multi-manager investor, actively managing funds and allocating assets in managed portfolios following a wide range of styles and strategies. Through their in-house and specialist third-party managers, they invest actively across asset classes and styles, with core capabilities in fixed income, equity, multi asset & solutions and systematic portfolios. The firm's core philosophy is called ‘intellectually honest investment management’ and it incorporates active, conviction-based investment decisions, bottom-up due diligence and applying continuous risk management to produce long-term results. | Portfolio Manager-Equities | 2012-01-31 |
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 |
|---|---|
GAM London Ltd.
GAM London Ltd. Investment ManagersFinance GAM London is a multi-manager investor, actively managing funds and allocating assets in managed portfolios following a wide range of styles and strategies. Through their in-house and specialist third-party managers, they invest actively across asset classes and styles, with core capabilities in fixed income, equity, multi asset & solutions and systematic portfolios. The firm's core philosophy is called ‘intellectually honest investment management’ and it incorporates active, conviction-based investment decisions, bottom-up due diligence and applying continuous risk management to produce long-term results. | Finance |
GAM International Management Ltd.
GAM International Management Ltd. Investment ManagersFinance GIML offers various investment products and services through managed account and investment fund structures using both fund of funds and single-manager strategies. Each of the investment teams pursues their own individual approach and preferred investment style so that they have the flexibility to implement their talents to the greatest effect, but within the wider risk control framework provided by the GAM Group. Their security analysis primarily includes fundamental analysis, but it may utilize other methods, like technical analysis, depending on the strategy and individual fund manager. | Finance |
Arcus Investment Ltd.
Arcus Investment Ltd. Investment ManagersFinance Arcus seeks to deliver superior returns through disciplined, active investment in undervalued Japanese equities. The firm looks for opportunities arising out of dislocations between a company’s share price and measures of potential fair value. | Finance |
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