Profile
Mr. Jonathan A. Ward is a Senior Investment Director at Canaccord Genuity Wealth Ltd. He manages direct equity, bond and multi-manager portfolios across a broad range of asset classes.
He focuses on traditional and bespoke mandates for high net worth private clients, trusts, charities and pension funds.
He chairs the Investment Trust Selection Committee and is a member of the Alternative Investments Selection Committee.
Mr. Jon began his career in 1997, initially with the stockbroking arm of NatWest and subsequently at Collins Stewart.
Mr. Ward was previously employed as an Associate Director by Collins Stewart Wealth Management Ltd. and an Associate Director by Collins Stewart Europe Ltd. (Investment Management).
Jon Ward active positions
| Companies | Position | Start |
|---|---|---|
Canaccord Genuity Wealth Ltd.
Canaccord Genuity Wealth Ltd. Investment ManagersFinance CGWL is an active, long-term investor which offers clients an access to a wide range of portfolio building and management resources, supported by rigorous, robust and highly analytical investment process includes in-depth research, in-house resources and insights into local and international markets. The firm’s discretionary portfolios invest in individual stocks and bonds, and other alternative asset classes. They also invest in third party investment funds, for added diversification and access to a wide range of investment styles and strategies. CGWL provides a range of different investments, including securities, equities, funds, exchange-traded funds (ETFs), investment trusts, venture capital trusts (VCTs), enterprise investment schemes (EISs), alternatives, bonds and cash. | Portfolio Manager-Equities | 2013-06-25 |
Former positions of Jon Ward
| Companies | Position | End |
|---|---|---|
Collins Stewart Wealth Management Ltd.
Collins Stewart Wealth Management Ltd. Investment ManagersFinance Provides investment advice | Portfolio Manager-Equities | 2013-06-25 |
Collins Stewart Europe Ltd. (Investment Management)
Collins Stewart Europe Ltd. (Investment Management) Regional BanksFinance CSE is a value-oriented investment manager following an investment approach based on strong convictions. The firm invests primarily in equity, complemented with debt, money market instruments and alternative investments, and focuses on the UK and continental Europe. Portfolios outside of the firm's core competencies are delegated to third-party asset managers. Equity portfolios are invested over the medium term in companies deemed to have intrinsic value considerably superior to their market valuation. The investment process is strictly bottom-up and based on fundamental analysis. CSE believes that diversification reduces upside potential, and favors a fundamental approach to economic, internal and competitive factors likely to affect each company in their concentrated portfolio. The firm follows investment themes inspired by trends and broad events, and targets strong corporations temporarily out of favor as well as valuation anomalies for which they can identify a catalyst. Portfolio companies are pro-actively monitored to reassess target price and investment horizon. Positions are divested when the target price is reached or when a change in the fundamentals causes the time to outcome to increase significantly. The firm's alternative investments are multi-manager portfolios. Underlying strategies include multi-arbitrage, convertible arbitrage, fixed-income, merger arbitrage and distressed debt, equity hedge, macro and trading. In addition to fundamental research, CSE's investment process leverages the quantitative capabilities offered by their Quest on-line share evaluation system. | Portfolio Manager-Equities | 2012-05-20 |
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 |
|---|---|
Collins Stewart Europe Ltd. (Investment Management)
Collins Stewart Europe Ltd. (Investment Management) Regional BanksFinance CSE is a value-oriented investment manager following an investment approach based on strong convictions. The firm invests primarily in equity, complemented with debt, money market instruments and alternative investments, and focuses on the UK and continental Europe. Portfolios outside of the firm's core competencies are delegated to third-party asset managers. Equity portfolios are invested over the medium term in companies deemed to have intrinsic value considerably superior to their market valuation. The investment process is strictly bottom-up and based on fundamental analysis. CSE believes that diversification reduces upside potential, and favors a fundamental approach to economic, internal and competitive factors likely to affect each company in their concentrated portfolio. The firm follows investment themes inspired by trends and broad events, and targets strong corporations temporarily out of favor as well as valuation anomalies for which they can identify a catalyst. Portfolio companies are pro-actively monitored to reassess target price and investment horizon. Positions are divested when the target price is reached or when a change in the fundamentals causes the time to outcome to increase significantly. The firm's alternative investments are multi-manager portfolios. Underlying strategies include multi-arbitrage, convertible arbitrage, fixed-income, merger arbitrage and distressed debt, equity hedge, macro and trading. In addition to fundamental research, CSE's investment process leverages the quantitative capabilities offered by their Quest on-line share evaluation system. | Finance |
Collins Stewart Wealth Management Ltd.
Collins Stewart Wealth Management Ltd. Investment ManagersFinance Provides investment advice | Finance |
Canaccord Genuity Wealth Ltd.
Canaccord Genuity Wealth Ltd. Investment ManagersFinance CGWL is an active, long-term investor which offers clients an access to a wide range of portfolio building and management resources, supported by rigorous, robust and highly analytical investment process includes in-depth research, in-house resources and insights into local and international markets. The firm’s discretionary portfolios invest in individual stocks and bonds, and other alternative asset classes. They also invest in third party investment funds, for added diversification and access to a wide range of investment styles and strategies. CGWL provides a range of different investments, including securities, equities, funds, exchange-traded funds (ETFs), investment trusts, venture capital trusts (VCTs), enterprise investment schemes (EISs), alternatives, bonds and cash. | Finance |
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