David is Head of Multi Asset at Ninety One. He focuses on fostering greater collaboration across investment teams and strengthening the macro research process that underpins our strategies. In addition, David is a co-portfolio manager for the Global Strategic Managed, Global Macro Allocation and Global Macro Currency strategies.
David has held senior investment leadership positions and managed multi-asset and fixed income portfolios across South Africa and the UK. Prior to joining the firm, he was co-Deputy Chief Investment Officer CIO at M&G Investments in London. Before that, he was the Chief Investment Officer at M&G Investments Southern Africa.
David holds a Bachelor of Science Honours in Economics and Master of Science in Economics from the London School of Economics and Birkbeck College respectively. He is an Associate of the Society of Investment Professionals.
Alex Holroyd-Jones
投資組合經理
Alex is a portfolio manager in the Multi-Asset team at Ninety One. Alex’s research responsibilities include macro, fixed income and currency. Prior to joining the firm in 2013 he worked on the Crude Oil and Products finance desk at ConocoPhillips, with a focus on derivatives. Alex graduated from Loughborough University with a first class Bachelor of Science (Hons) degree in Business Economics and Finance. Alex is also a Chartered Financial Analyst (CFA®) Charterholder.