Matthew is a portfolio manager and has been a member of the Real Return team since the strategy was launched in 2004. He provides strong input into security selection within global equities, working closely with Newton’s team of global research analysts on new ideas and existing portfolio holdings. Matthew is a co-lead manager of the Newton Sustainable Real Return strategy. Since joining Newton in 2000, Matthew has acquired varied experience across a range of mandates, including multi-asset, global equity and absolute-return portfolios. He is a CFA* charterholder. Matthew joined Newton after graduating from the University of Bristol with a BA Hons in History. Matthew is a family man, loves to travel, and has green fingers!
- Joined industry
- 2000
- Joined the Group
- 2000
Topics of expertise
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