Profile
Mr. Michael B. Dymond is a Portfolio Manager at USS Investment Management Ltd.
Prior to establishing an investement subsidiary of Universities Superannuation Scheme Ltd., he joined USS in 2010 as Portfolio Manager for Private Equity & Infrastructure.
In his role at USS, he focuses on fund sourcing, selection, implementation and monitoring for the private equity and infrastructure portfolios.
He is a member of a number of advisory boards for private equity funds.
Prior to joining USS, he was employed by Pinebridge Investments in London in a role which included manager selection, monitoring and strategy in the private equity fund of funds programme.
Before that, he worked at Fortis Bank in Brussels as a member of the global private equity team.
Mr. Dymond has a degree in Economics and Political Science from McGill University in Canada, and holds a Master of Business Administration from Nyenrode University in the Netherlands.
Former positions of Michael B. Dymond
| Companies | Position | End |
|---|---|---|
Universities Superannuation Scheme Ltd.
Universities Superannuation Scheme Ltd. Investment ManagersFinance USS integrates environmental, social and corporate governance (ESG) factors into their investment decisions across all asset classes. Through engagement, voting and stewardship, they use their influence as a major institutional investor to promote good ESG practices. The firm works with policy makers and regulators to ensure that the concerns of long-term asset owners and investors are clearly understood. | Investment Committee Member | 2012-10-21 |
USS Investment Management Ltd.
USS Investment Management Ltd. Investment ManagersFinance USS-IM is an active, long-term manager which utilizes a highly regulated investment approach aiming to generate above average returns at minimum risk by managing a diversified fund composed of UK and overseas equities, bonds, real estate and alternative assets. The firm's in-house team of portfolio manager/analysts is the Scheme's preferred investment manager, and external managers are accessed too. Portfolios are diversified both geographically and by sector. They diversify across traditional and alternative assets and strategies aiming to maintain investment returns while mitigating risk. USS-IM invests in fixed-income to protect against economic and equity weakness and to stabilize assets versus liabilities. They also invest in emerging government/corporate bond markets when they believe they offer an attractive risk premium. | Investment Committee Member | - |
Experiences
Positions held
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Inactive
Listed companies
Private companies
Connections
1st degree connections
1st degree companies
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Members of the board
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Linked companies
| Private companies | 2 |
|---|---|
Universities Superannuation Scheme Ltd.
Universities Superannuation Scheme Ltd. Investment ManagersFinance USS integrates environmental, social and corporate governance (ESG) factors into their investment decisions across all asset classes. Through engagement, voting and stewardship, they use their influence as a major institutional investor to promote good ESG practices. The firm works with policy makers and regulators to ensure that the concerns of long-term asset owners and investors are clearly understood. | Finance |
USS Investment Management Ltd.
USS Investment Management Ltd. Investment ManagersFinance USS-IM is an active, long-term manager which utilizes a highly regulated investment approach aiming to generate above average returns at minimum risk by managing a diversified fund composed of UK and overseas equities, bonds, real estate and alternative assets. The firm's in-house team of portfolio manager/analysts is the Scheme's preferred investment manager, and external managers are accessed too. Portfolios are diversified both geographically and by sector. They diversify across traditional and alternative assets and strategies aiming to maintain investment returns while mitigating risk. USS-IM invests in fixed-income to protect against economic and equity weakness and to stabilize assets versus liabilities. They also invest in emerging government/corporate bond markets when they believe they offer an attractive risk premium. | Finance |
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