Mark Evans

Portfolio Manager at GIB Asset Management

Mark Evans, CFA, is a seasoned finance professional with extensive experience in equity analysis and portfolio management. Currently serving as Co-Portfolio Manager for Global Equities at GIB Asset Management since July 2021, Mark has previously worked as an analyst at Jupiter Fund Management plc from February 2011 to March 2021, where contributions included generating ideas for the Environmental Investment Team and monitoring a significant investment strategy. Early career experiences include an internship at Citi, where vital statistics reports were produced, and consultancy work on renewable energy finance market research at VB/Research. Mark began a career in investment analysis at M&G Investments, focusing on fund launches and investment opportunities in Continental Europe from 2002 to 2009. Mark holds an MSc in Environmental Technology from Imperial College London and a MA in History from The University of Edinburgh.

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