MARK LAMOHR

B.Sc Math & Applied Math/Portfolio Manager

Mark joined Mianzo as a Portfolio Manager for the equity portfolios. Before this, Mark was Head of International Equity at Metropolitan Asset Managers where he pioneered their Global Equity process and successfully managed the Momentum Global Equity fund for more than 5 years. Before this he was employed as a quantitative analyst at ABVEST where he worked closely with both the fixed Interest and equity teams. Mark has extensive knowledge in blending quantitative methods with fundamental analysis and also shows a keen interest in behavioural finance. Gained equity analysis experience on both local and global companies across different industries and regions for the last 11 years.

As Portfolio Manager Mark is responsible for:

  • Equity Investment Process
  • Equity Stock Selection
  • Risk Management
  • Portfolio Construction
  • Quantitative Analysis
  • Performance Analysis