Profile
Mr. Robin J.
Griffiths is a Technical Strategist at Cazenove Capital Management Ltd.
He has over 41 years of investment experience.
He has been one of the most-respected Technical Analysts of world stock markets, bonds, currencies and commodities for over 30 years.
He became a Technical Analyst with WI Carr, based first in Hong Kong and then Tokyo before returning to London.
During this time, he started to develop his own trading system, analysing stock and market trends.
He was then Chief Technical Strategist with HSBC for over 20 years.
After HSBC, he was the Head of Asset Allocation at Rathbones.
He joined Cazenove Capital in 2008 and is responsible for providing strategic input and marketing support, primarily to Private Wealth Management.
Former positions of Robin J. Griffiths
| Companies | Position | End |
|---|---|---|
Cazenove Capital Management Ltd.
Cazenove Capital Management Ltd. Investment ManagersFinance CCM is an active, value-oriented investment manager which follows a bottom-up investment process and adopts a pragmatic approach. They try to anticipate the evolution of a company's stock by analyzing their business life cycle, taking into account global economic and market factors. The firm seeks to meet biannually with the companies in their portfolio. The firm's managers concentrate on their area of expertise, namely UK and European securities, fixed-income, multi-manager and alternative asset classes. They rely on external managers for other areas. CCM meets regularly with the companies in their portfolio and makes investment decisions as a team. Funds are managed to follow relevant industry indexes. | Portfolio Manager-Equities | 2010-08-19 |
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 |
|---|---|
Cazenove Capital Management Ltd.
Cazenove Capital Management Ltd. Investment ManagersFinance CCM is an active, value-oriented investment manager which follows a bottom-up investment process and adopts a pragmatic approach. They try to anticipate the evolution of a company's stock by analyzing their business life cycle, taking into account global economic and market factors. The firm seeks to meet biannually with the companies in their portfolio. The firm's managers concentrate on their area of expertise, namely UK and European securities, fixed-income, multi-manager and alternative asset classes. They rely on external managers for other areas. CCM meets regularly with the companies in their portfolio and makes investment decisions as a team. Funds are managed to follow relevant industry indexes. | Finance |
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