Profile
Ms. Petra Posnikova is an Equity Analyst at London & Capital Asset Management Ltd. She is responsible for the stock selection and portfolio construction for the London & Capital UK Equity fund, as well as performing equity analysis of selected global companies.
Before joining London & Capital in summer 2016, Ms. Posnikova worked as a Corporate Finance Analyst at Craton Partners.
Prior to that, she was an Analyst in the Equities Sales & Trading division at Morgan Stanley and a Graduate Trainee at M&G Investments.
She has a degree in Politics from University College London and passed all three levels of the CFA programme.
Former positions of Petra Posnikova
| Companies | Position | End |
|---|---|---|
London & Capital Asset Management Ltd.
London & Capital Asset Management Ltd. Investment ManagersFinance W1M's investment process is founded on four pillars: autonomy, discipline, transparency, and risk management. They first analyze macroeconomic and political events to develop forward-looking views on risks and returns for asset classes. Their specialist fixed-income, equities, commodities, and hedge fund teams then allocate between sub-asset classes, industries, sectors, and geographies. The firm follows a bottom-up approach to selecting specific securities within these sub-asset classes. | Analyst-Equity | 2018-07-31 |
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 | 1 |
|---|---|
London & Capital Asset Management Ltd.
London & Capital Asset Management Ltd. Investment ManagersFinance W1M's investment process is founded on four pillars: autonomy, discipline, transparency, and risk management. They first analyze macroeconomic and political events to develop forward-looking views on risks and returns for asset classes. Their specialist fixed-income, equities, commodities, and hedge fund teams then allocate between sub-asset classes, industries, sectors, and geographies. The firm follows a bottom-up approach to selecting specific securities within these sub-asset classes. | Finance |
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