Amadeo Alentorn joined Old Mutual in 2005. He is a fund manager in the global equities team, and is also responsible for directing the quantitative research programme. He has extensive experience in investment, quantitative research and software development. Prior to joining Old Mutual, he developed simulation models for systemic and liquidity risk at the Bank of England (2004-2005), and worked as a software developer for CAD systems (2001-2004) and for robotic applications (1998-1999). Amadeo holds a BEng in Robotics (2000) from the University of Plymouth, an MSc in Computer Science (2001) and a PhD in Computational Finance (2006) from the University of Essex. During his doctoral research he developed a new option pricing model based on extreme value theory. He is a CFA charterholder.
Ian Heslop was born in South Shields in the United Kingdom in the early seventies. He holds a BA in chemistry from Oxford University and a PhD in medicinal chemistry from Edinburgh University. He started his career in the financial industry in 1997 when he joined Barclays Global Investors. After three years he then joined Old Mutual Asset Management is currently head of quantitative strategies. Ian is a member of ASIP and outside of fund management he likes to unwind by playing squash and football.
Mike Servent joined OMGI in November 2004 from Barra International where he was a senior consultant specialising in the implementation of multi asset-class risk systems. Prior to this he spent five years with COR Risk Solutions, which developed optimisation, backtesting and modelling software. At COR he worked as commercial development manager as well as undertaking research projects with various clients. Mike has an MA in physics from Oxford University.
The objective of the Fund is to seek to achieve asset growth through investment in a diversified portfolio of equity and equity-related securities. As part of the Funds strategy it will focus on developing a stock portfolio that is expected to deliver total returns while satisfying the income requirements of investors. In this regard, the Investment Advisers stock selection process looks for a stock portfolio that can offer both attractive dividends as well as capital growth.
Rank 12/17 Total Return
Rank 14/17 Standard Deviation
Rank 11/17 Max Drawdown
|10||UBS (Lux) Eq S - US Income USD P-acc||EUR||
|11||BNY Mellon US Equity Income USD C Acc||EUR||
|12||Old Mutual US Equity Income A USD||EUR||
|13||Deutsche Invest II US Top Dividend LC||EUR||
|14||Aviva Investors US Equity Income I USD||EUR||
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|12||PARVEST Equity High Dividend USA C C USD||EUR||
|13||Aviva Investors US Equity Income I USD||EUR||
|14||Old Mutual US Equity Income A USD||EUR||
|15||BGF North American Equity Income A2 USD||EUR||
|16||Morgan Stanley US Active Factor Equity A USD||EUR||
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Month by Month Performance
Returns Vs Risk
- United Kingdom
- Launch date12/04/2002
- Share Class size143Mn
- Base currencyUSD
- Min. initial investment1,000
- Min. regular additional investment0
- Annual management1.50%
- Initial investment1.5