Profile
Mr. Mike T.
Hollings is Investment Director at Althea Capital LLP.
He was previously employed as Investment Director by Rathbone Investment Management International Ltd. Mr. Hollings joined Rathbone Investment Management International in October 2010.
He has over 25 years experience in both investment banking and investment management at firms such as Morgan Stanley, Societe Generale and Cheyne Capital with a specialisation in convertible bonds and structured products.
He joined Rathbones from Matrix Investment Management where he was Chief Investment Officer.
Mr. Hollings has focused on the delivery of absolute returns for private client portfolios since 2005.
Mr. Hollings read Law at Exeter and subsequently served a Short Service Commission in the Blues & Royals.
He has been recognised within the industry with the performance award for Growth Portfolios from PAM in 2007.
Former positions of Mike T. Hollings
| Companies | Position | End |
|---|---|---|
Althea Capital LLP
Althea Capital LLP Investment ManagersFinance Provides investment advice | Portfolio Manager-Equities | 2013-02-28 |
Rathbones Investment Management International Ltd.
Rathbones Investment Management International Ltd. Investment ManagersFinance Rathbones International designs tailored strategies to match a client’s individual financial circumstances, investment objectives and risk appetite. Portfolio is usually based on the firm’s multi-asset approach to investing. They have the particular expertise required to invest directly in individual equities and bonds. | Portfolio Manager-Equities | 2012-09-30 |
Matrix Money Management Ltd.
Matrix Money Management Ltd. Investment ManagersFinance Provides investment Advice | Chief Investment Officer | 2009-10-14 |
Ansbacher & Co. Ltd.
Ansbacher & Co. Ltd. Investment ManagersFinance A&Co is a risk-averse investment manager focused on long-term capital preservation and growth, and tailoring their investment approach to their clients' profile. The firm's investment philosophy emphasizes absolute returns, favors lower volatility strategies and relies on a distinctive approach to asset allocation. A&Co uses a proprietary quantitative investment selection process. The firm invests across major currencies and asset classes, focusing on dollar-, sterling- and euro-denominated investments. They invest the core of their portfolios in market-neutral vehicles such as hedge funds, and favor funds of hedge funds for diversification and risk control purposes. They also invest a significant proportion of their assets in debt, concentrating on high-grade bonds including inflation-linked government bonds. Equity investments complement the portfolios, following a strictly bottom-up investment process which considers both a company's potential and the sector's prospects. The firm avoids any index tracking, seeks yield and strongly favors defensive stocks such food groups, brewers, tobacco groups, and utilities. They also invest directly in private equity as well as in private equity fund of funds, co-operating with the group's offices in the Channel Islands. | Chief Investment Officer | - |
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 | 4 |
|---|---|
Matrix Money Management Ltd.
Matrix Money Management Ltd. Investment ManagersFinance Provides investment Advice | Finance |
Ansbacher & Co. Ltd.
Ansbacher & Co. Ltd. Investment ManagersFinance A&Co is a risk-averse investment manager focused on long-term capital preservation and growth, and tailoring their investment approach to their clients' profile. The firm's investment philosophy emphasizes absolute returns, favors lower volatility strategies and relies on a distinctive approach to asset allocation. A&Co uses a proprietary quantitative investment selection process. The firm invests across major currencies and asset classes, focusing on dollar-, sterling- and euro-denominated investments. They invest the core of their portfolios in market-neutral vehicles such as hedge funds, and favor funds of hedge funds for diversification and risk control purposes. They also invest a significant proportion of their assets in debt, concentrating on high-grade bonds including inflation-linked government bonds. Equity investments complement the portfolios, following a strictly bottom-up investment process which considers both a company's potential and the sector's prospects. The firm avoids any index tracking, seeks yield and strongly favors defensive stocks such food groups, brewers, tobacco groups, and utilities. They also invest directly in private equity as well as in private equity fund of funds, co-operating with the group's offices in the Channel Islands. | Finance |
Althea Capital LLP
Althea Capital LLP Investment ManagersFinance Provides investment advice | Finance |
Rathbones Investment Management International Ltd.
Rathbones Investment Management International Ltd. Investment ManagersFinance Rathbones International designs tailored strategies to match a client’s individual financial circumstances, investment objectives and risk appetite. Portfolio is usually based on the firm’s multi-asset approach to investing. They have the particular expertise required to invest directly in individual equities and bonds. | Finance |
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