Profile
Fahad Iqbal Siddiqi is currently Head-Direct Equities at RIT Capital Partners Plc (Private Equity) since 2005.
Formerly, Mr. Siddiqi was Head-Public Equities at RIT Capital Partners Plc (Private Equity) from 2009 to 2019.
Mr. Siddiqi also worked as Senior Portfolio Manager at RIT Capital Partners Plc (Invt Mgmt) and at RIT Capital Partners Plc.
Mr. Siddiqi completed graduate studies at London Business School in 2000 and undergraduate studies at London School of Economics & Political Science in 1996.
Fahad Siddiqi active positions
| Companies | Position | Start |
|---|---|---|
RIT Capital Partners Plc (Private Equity)
RIT Capital Partners Plc (Private Equity) Investment ManagersFinance RIT Capital Partners invests in public & private companies and funds located across the globe. The firm focuses on companies operating in the fields of enterprise software, fintech & financial services, healthcare & life sciences, consumer, AI & advanced technologies and industrials sectors. It provides financing for buyout and growth stage capital requirements. | Private Equity Investor | 2005-09-30 |
Former positions of Fahad Siddiqi
| Companies | Position | End |
|---|---|---|
RIT Capital Partners Plc (Private Equity)
RIT Capital Partners Plc (Private Equity) Investment ManagersFinance RIT Capital Partners invests in public & private companies and funds located across the globe. The firm focuses on companies operating in the fields of enterprise software, fintech & financial services, healthcare & life sciences, consumer, AI & advanced technologies and industrials sectors. It provides financing for buyout and growth stage capital requirements. | Private Equity Investor | 2019-11-30 |
RIT Capital Partners Plc (Invt Mgmt)
RIT Capital Partners Plc (Invt Mgmt) Investment ManagersFinance RIT IM is an active, benchmark agnostic manager which aims to deliver long-term capital growth while preserving shareholder capital. They invest in public markets and in private companies and allocate some capital to selected external investment managers. They also carry out overlay and hedging activities to balance the portfolio. The firm’s external managers in public equity and debt markets are diversified by asset class, theme, geography and strategy. They favor stock selection-driven strategies and prefer to avoid exposures to volatile managers employing high levels of leverage. For special situations, they target investments in sectors they understand including energy, resources, financial services, TMT and consumer-related. RIT IM typically invests in companies with a clear business model, a strong position in the value chain, good margins and favorable long-term cash generation. They aim to be a meaningful shareholder with the ability to influence the business. The firm’s public equities investments include companies with an established market position, a history of consistent returns to shareholders and an appropriate valuation. They also invest in young businesses that originally formed part of their private investment portfolio and which continue to generate value as well as companies which offer exceptional risk adjusted opportunities. They aim to participate in markets when they are rising and adopt a more cautious stance when they see risks of capital loss. | Portfolio Manager-Equities | - |
| RIT CAPITAL PARTNERS PLC | Corporate Officer/Principal | - |
Training of Fahad Siddiqi
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 | 5 |
|---|---|
RIT Capital Partners Plc
RIT Capital Partners Plc Investment Trusts/Mutual FundsMiscellaneous Functions as a unit investment trust | Miscellaneous |
London School of Economics & Political Science
London School of Economics & Political Science Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
London Business School
London Business School Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
RIT Capital Partners Plc (Private Equity)
RIT Capital Partners Plc (Private Equity) Investment ManagersFinance RIT Capital Partners invests in public & private companies and funds located across the globe. The firm focuses on companies operating in the fields of enterprise software, fintech & financial services, healthcare & life sciences, consumer, AI & advanced technologies and industrials sectors. It provides financing for buyout and growth stage capital requirements. | Finance |
RIT Capital Partners Plc (Invt Mgmt)
RIT Capital Partners Plc (Invt Mgmt) Investment ManagersFinance RIT IM is an active, benchmark agnostic manager which aims to deliver long-term capital growth while preserving shareholder capital. They invest in public markets and in private companies and allocate some capital to selected external investment managers. They also carry out overlay and hedging activities to balance the portfolio. The firm’s external managers in public equity and debt markets are diversified by asset class, theme, geography and strategy. They favor stock selection-driven strategies and prefer to avoid exposures to volatile managers employing high levels of leverage. For special situations, they target investments in sectors they understand including energy, resources, financial services, TMT and consumer-related. RIT IM typically invests in companies with a clear business model, a strong position in the value chain, good margins and favorable long-term cash generation. They aim to be a meaningful shareholder with the ability to influence the business. The firm’s public equities investments include companies with an established market position, a history of consistent returns to shareholders and an appropriate valuation. They also invest in young businesses that originally formed part of their private investment portfolio and which continue to generate value as well as companies which offer exceptional risk adjusted opportunities. They aim to participate in markets when they are rising and adopt a more cautious stance when they see risks of capital loss. | Finance |
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