Profile
Mr. Nicholas J.
Dymond, CFA, is a Director of International Index Equity at Northern Trust Global Investments Ltd. He joined the firm in March 2006 as a Portfolio Manager and is responsible for index portfolio management in the United States, EMEA and Asia.
Prior to this role, he was the Head of the Index Equity team based in London and was responsible for EMEA’s valuable institutional index equity business of index funds and segregated portfolios.
Prior to joining Northern Trust, Mr. Dymond was at State Street Global Advisors, initially in the operations department focusing on Risk Control and Transitions.
He joined their global structured products group in 2002 where he was primarily responsible for the management of index portfolios and asset allocation across their pooled funds range.
Mr. Dymond earned his Masters of Engineering in Civil Engineering with Architecture from the University of Leeds.
He is a CFA charterholder and a member of the CFA Institute.
Nicholas James Dymond active positions
| Companies | Position | Start |
|---|---|---|
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. | Head-Equity Investments | 2016-12-31 |
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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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