Profile
Mr. Thomas F.
Kemmsies, CFA, is a Fund Manager at Nomura Asset Management U.K.
Ltd. He has 29 years of investment experience and has been at Nomura since 2000.
Mr. Kemmsies was previously employed as a Head of Fixed Income by Nomura Asset Management Europe KVG mbH.
Former positions of Thomas Franklin Kemmsies
| Companies | Position | End |
|---|---|---|
Nomura Asset Management U.K. Ltd.
Nomura Asset Management U.K. Ltd. Investment ManagersFinance NAM-UK is an active, value-oriented manager with a global perspective and a medium- to long-term outlook. They perform multi-faceted research which is shared throughout the group, and local expertise is contributed by each overseas team. Their research capabilities, supported and integrated globally by proprietary systems, include fundamental analysis, company visits, market research, credit analysis, macroeconomic projections and quantitative analysis. The firm employs various strategies including active, passive and active quantitative. They invest globally through their funds in equity and fixed income, with a strong focus on the Far East. | Portfolio Manager-Fixed Income | 2020-09-30 |
Nomura Asset Management Europe KVG mbH
Nomura Asset Management Europe KVG mbH Investment ManagersFinance Nomura AM Deutschland is an active investor and manages diversified portfolios with alpha potential invested in equity, fixed-income and money-market instruments. The firm focuses primarily on Japanese and Asia-Pacific equity as well as European fixed-income. As part of the Nomura Group, which is the market leading asset manager in Japan, Nomura AM Deutschland combines international expertise and local presence, and relies on research provided by their parent company's analysts for investments in Asia. The firm follows a bottom-up investment approach and utilizes fundamental, technical and quantitative management processes. They perform in-house qualitative research but also use mathematical and statistical models to identify investment opportunities. Risk management is integrated to each step of the investment process and a risk management team permanently controls portfolios. The fund management team meets daily to evaluate market conditions and make investment decisions. | Head-Fixed Income Invts | 2014-06-30 |
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 | 2 |
|---|---|
Nomura Asset Management Europe KVG mbH
Nomura Asset Management Europe KVG mbH Investment ManagersFinance Nomura AM Deutschland is an active investor and manages diversified portfolios with alpha potential invested in equity, fixed-income and money-market instruments. The firm focuses primarily on Japanese and Asia-Pacific equity as well as European fixed-income. As part of the Nomura Group, which is the market leading asset manager in Japan, Nomura AM Deutschland combines international expertise and local presence, and relies on research provided by their parent company's analysts for investments in Asia. The firm follows a bottom-up investment approach and utilizes fundamental, technical and quantitative management processes. They perform in-house qualitative research but also use mathematical and statistical models to identify investment opportunities. Risk management is integrated to each step of the investment process and a risk management team permanently controls portfolios. The fund management team meets daily to evaluate market conditions and make investment decisions. | Finance |
Nomura Asset Management U.K. Ltd.
Nomura Asset Management U.K. Ltd. Investment ManagersFinance NAM-UK is an active, value-oriented manager with a global perspective and a medium- to long-term outlook. They perform multi-faceted research which is shared throughout the group, and local expertise is contributed by each overseas team. Their research capabilities, supported and integrated globally by proprietary systems, include fundamental analysis, company visits, market research, credit analysis, macroeconomic projections and quantitative analysis. The firm employs various strategies including active, passive and active quantitative. They invest globally through their funds in equity and fixed income, with a strong focus on the Far East. | Finance |
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