Profile
Mr. Lombard Olivier, CFA, is Head of Research at Northern Trust Global Investments Ltd. He has taken up the role of head of international research at Northern Trust Global Advisors in London.
Previously, He was head of UK equity portfolio management at Skandia, based in Southampton.
The research team at NTGA covers the manager arrangements for the firm's UK and international institutional clients, its Dublin-based manager-of-managers fund range, and works together with Northern Trust Global Advisors' North American multi-manager research teams to assist their clients with their international asset exposures.
Mr. Olivier has been a member of CFA UK since 2003.
Former positions of Lombard Olivier
| Companies | Position | End |
|---|---|---|
Northern Trust Global Investments Ltd.
Northern Trust Global Investments Ltd. Investment ManagersFinance NTGIL is an active manager which follows a quantitative-oriented investment style to investment. The firm’s active fixed income incorporates both a top-down macro-economic view along with a bottom-up fundamental outlook. Their macro fixed income strategy committees generate proprietary environmental forecasts on key global metrics that guide the formulation of their active investment policy. NTGIL utilizes passive fixed income to provide a diversified portfolio through stratified sampling with risk and return characteristics of the underlying benchmark. | Director of Research - Equity | 2008-12-31 |
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| Private companies | 1 |
|---|---|
Northern Trust Global Investments Ltd.
Northern Trust Global Investments Ltd. Investment ManagersFinance NTGIL is an active manager which follows a quantitative-oriented investment style to investment. The firm’s active fixed income incorporates both a top-down macro-economic view along with a bottom-up fundamental outlook. Their macro fixed income strategy committees generate proprietary environmental forecasts on key global metrics that guide the formulation of their active investment policy. NTGIL utilizes passive fixed income to provide a diversified portfolio through stratified sampling with risk and return characteristics of the underlying benchmark. | Finance |
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