Bio
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Christopher Gould is a seasoned investment professional with extensive experience in fixed income, asset management, and portfolio management. He has held various roles in investment risk, asset allocation, and trading, with a strong background in risk management and derivatives. Gould has worked for prominent financial institutions, including Barclays Wealth Management, Santander Asset Management, and Amlin.
He holds a degree in Maths, Physics, and Chemistry from Westcliff High and is certified by the IMRO (Investment and Markets Regulatory Organisation) with an IIMR (Investment and Markets Regulatory Qualification) and an IMC (Investment Manager Certification).
Credentials
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IIMR, IMC
IMRO
Experience
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Veritas Asset Management LLP
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London, England, United Kingdom
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Investment risk contractor
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Apr 2022 - Oct 2022
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London, England, United Kingdom
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Barclays Wealth Management
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London, United Kingdom
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Contractor, Investment Risk
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Oct 2018 - Jul 2019
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London, United Kingdom
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Consultant, Interim Risk Manager
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Dec 2015 - Dec 2016
Assisting risk and control team in transitioning its operations from Glasgow to London and creating the new team in London
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Investment Manager Quant/Risk
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Jul 2012 - May 2015
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Aethra Asset Management
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London, United Kingdom
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Partner and Portfolio Manager
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Jun 2009 - Jul 2011
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London, United Kingdom
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Director, Head of Risk, Tactical Asset Allocation
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Dec 2000 - Jun 2008
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Risk Manager, Fixed Income
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Sep 1993 - May 2000
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Education
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1987 - 1993Westcliff High
Maths, Physics, Chemistry
Suggested Services
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Industry Focus. “Investment Management”
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