A proven, consistent track record of superior risk adjusted returns.
High conviction active management of a specialised Fund range by an experienced team.
A clearly defined investment process and Fund offering that provides client confidence.
We believe outperformance comes from adhering to a structured and transparent investment process,
centred on our three core investment pillars.
One investment approach across all strategies.
Concentrated equity portfolios of between 35 to 45 companies.
Focus on the long-term with low stock turnover.
David Fahy joined Goodbody Asset Management in November 2019 from Cantor Fitzgerald where he worked in investment research, undertaking the research of direct equities for core global portfolios and also on asset allocation including macro and strategy. David previously worked in Mediolanum Asset Management as a fund of fund portfolio manager and prior to that as a Risk Analyst at Bank of Ireland. David holds a First Class Honours degree in the MSc Quantitative Finance from the UCD Michael Smurfit Graduate Business School. He is also a graduate of the BSc Economics and Finance from University College Dublin and a CFA Charter holder.
CONTACT
+353 1 641 9470