Profile
Mr. Michael Price is a Portfolio Manager of Equity Income at Ausbil Investment Management Ltd. He joined Ausbil in 2018.
His role at Ausbil includes strategy, portfolio construction and investment management for the equity income strategy.
Mr. Price has over 34 years of quantitative, actuarial and financial markets experience working in Sydney and Melbourne with companies such as AMP Capital, ING Investment Management, Mercantile Mutual and Colonial Mutual.
Before joining Ausbil, he was Head of Australian Equities at AMP Capital.
His primary roles at AMP Capital were the overall management of the $16b Australian equities team and the portfolio management of the sustainable equities and equity income strategies.
Prior to joining AMP Capital, he was Director – Investment Process at ING Investment Management where he was the portfolio manager for the sustainable, imputation and tax effective Australian equity strategies as well as being a member of ING’s asset allocation committee.
Mr. Price holds a Bachelor of Economics (Major in Actuarial Studies) from Macquarie University and is a Fellow of the Institute of Actuaries of Australia.
Michael Price active positions
| Companies | Position | Start |
|---|---|---|
Ausbil Investment Management Ltd.
Ausbil Investment Management Ltd. Investment ManagersFinance Ausbil is an active, style neutral manager, who focuses on exploiting inefficiencies across the entire market, at all stages of the cycle and across all market conditions. The firm seeks to position their portfolios towards those sectors and stocks which they believe will experience positive earnings revisions and away from those they believe will suffer negative revisions. They utilize both top-down commodity and macro analysis, combined with bottom-up stock analysis and a disciplined risk management process. | Portfolio Manager-Equities | 2017-12-31 |
Former positions of Michael Price
| Companies | Position | End |
|---|---|---|
AMP Capital Investors Ltd.
AMP Capital Investors Ltd. Investment ManagersFinance Dexus is an active manager which invests in equity, fixed-income, real estate, infrastructure, and multi-asset and diversified securities. Their investment approach is driven by research, access to their global network and progressive portfolio construction following proprietary processes. Portfolio managers focus on specific markets while maintaining flexibility to invest opportunistically. The firm's investment process is a combination of top-down and bottom-up approaches. In addition to equity portfolios, Dexus manages yield-oriented strategies invested in government and non-government debt, emerging market debt, hybrid securities, derivatives, infrastructure debt, listed and direct real estate. They also manage hedge funds, including an Australian market neutral strategy which follows an enhanced index investment approach. They are also a major wholesale real estate manager and design real estate-backed investment products. | Head-Equity Investments | 2017-12-31 |
ING Investment Management (Australia) Ltd.
ING Investment Management (Australia) Ltd. Investment ManagersFinance INGIM-AU is a long-term investment manager which believes that within a market the performances of each asset class are linked to the progression of the economic cycle. They aim to take advantage of asset class trends through active portfolio management. The firm invests in Australian and global equity, real estate-related securities, fixed-income and cash. Their multi-sector and global equity funds have actively managed exposure to foreign currency. Their in-house research informs investment decisions and is a composite of proprietary quantitative models and internal fundamental analysis complemented by third-party inputs. INGIM-AU's investment process starts with a mid-term macroeconomic view which determines asset allocation. Equity investments follow a growth-oriented approach and proceed from a bottom-up stock selection process focused on earnings momentum. Fixed-income investments follow a top-down approach focused on relative value to the market and the evolution of the economic cycle. | Director of Investments | 2012-03-29 |
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 |
|---|---|
AMP Capital Investors Ltd.
AMP Capital Investors Ltd. Investment ManagersFinance Dexus is an active manager which invests in equity, fixed-income, real estate, infrastructure, and multi-asset and diversified securities. Their investment approach is driven by research, access to their global network and progressive portfolio construction following proprietary processes. Portfolio managers focus on specific markets while maintaining flexibility to invest opportunistically. The firm's investment process is a combination of top-down and bottom-up approaches. In addition to equity portfolios, Dexus manages yield-oriented strategies invested in government and non-government debt, emerging market debt, hybrid securities, derivatives, infrastructure debt, listed and direct real estate. They also manage hedge funds, including an Australian market neutral strategy which follows an enhanced index investment approach. They are also a major wholesale real estate manager and design real estate-backed investment products. | Finance |
ING Investment Management (Australia) Ltd.
ING Investment Management (Australia) Ltd. Investment ManagersFinance INGIM-AU is a long-term investment manager which believes that within a market the performances of each asset class are linked to the progression of the economic cycle. They aim to take advantage of asset class trends through active portfolio management. The firm invests in Australian and global equity, real estate-related securities, fixed-income and cash. Their multi-sector and global equity funds have actively managed exposure to foreign currency. Their in-house research informs investment decisions and is a composite of proprietary quantitative models and internal fundamental analysis complemented by third-party inputs. INGIM-AU's investment process starts with a mid-term macroeconomic view which determines asset allocation. Equity investments follow a growth-oriented approach and proceed from a bottom-up stock selection process focused on earnings momentum. Fixed-income investments follow a top-down approach focused on relative value to the market and the evolution of the economic cycle. | Finance |
Ausbil Investment Management Ltd.
Ausbil Investment Management Ltd. Investment ManagersFinance Ausbil is an active, style neutral manager, who focuses on exploiting inefficiencies across the entire market, at all stages of the cycle and across all market conditions. The firm seeks to position their portfolios towards those sectors and stocks which they believe will experience positive earnings revisions and away from those they believe will suffer negative revisions. They utilize both top-down commodity and macro analysis, combined with bottom-up stock analysis and a disciplined risk management process. | Finance |
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