Profil
Mr. Michael Testorf, CFA, is a Managing Director & Portfolio Manager at ClearBridge Investments LLC.
He is responsible for the Global Growth Equity investment team and co-manages numerous global and international growth strategies.
He joined ClearBridge Investments in October 2015 and has over 38 years of investment industry experience.
Prior to joining ClearBridge, Mr. Testorf served as a Senior Portfolio Manager and Senior Partner at R Squared Capital Management LLP, a wholly employee owned firm.
For 13 years he worked at Artio Global Management (formerly Julius Baer) where he was most recently a Senior Portfolio Manager, International Equities.
He also held positions at the United Nations Joint Staff Pension Fund.
He began his career at the Investment Management Training Program at Commerzbank AG in Hamburg.
Mr. Testorf earned a BA in Business and Economics from the Wirtschaftsakademie Hamburg (Academy of Business and Administration) in Hamburg, Germany.
He received the CFA designation in 2000.
Aktive Positionen von Michael Testorf
| Unternehmen | Position | Beginn |
|---|---|---|
ClearBridge Investments LLC
ClearBridge Investments LLC Investment ManagersFinance ClearBridge Investments is a global equity manager that seeks to deliver long-term results through authentic active management by offering investment solutions that emphasize differentiated, bottom-up stock selection. The firm offers strategies focused on three primary client objectives: high active share, income solutions and low volatility. ClearBridge Investments performs research on an ongoing basis for the maintenance of existing investments, and to identify new investment opportunities. They integrate ESG considerations into their fundamental research process across all strategies. | Portfolio Manager-Aktien | 01.10.2015 |
Ehemalige bekannte Positionen von Michael Testorf
| Unternehmen | Position | Ende |
|---|---|---|
R Squared Capital Management LP
R Squared Capital Management LP Investment ManagersFinance R-Squared Capital Management focuses exclusively on investments in international equities. | Portfolio Manager-Aktien | 01.10.2015 |
Artio Global Management LLC
Artio Global Management LLC Investment ManagersFinance Artio Global Management (AGM) manages a variety of global equity and fixed-income investment strategies. The firm focuses on creating highly-diversified portfolios of attractive securities that are based on benchmarks, while being willing to actively depart from them in the pursuit of superior risk-adjusted returns. Their strategies include international equity, global equity, US equity, investment grade fixed-income, high yield and core plus. AGM's international equity strategies are core strategies that do not attempt to follow either a growth approach or a value approach. The strategies invest in equity securities in developed and emerging markets outside the US. They seek to maintain a diversified core portfolio that is driven by dynamic sector and company fundamental analysis. AGM's objective is to invest in a highly-diversified portfolio of the most relatively attractive securities in over 20 countries. The Artio Global Equity Strategy is a core, multi-cap equity strategy that invests in companies throughout the world. The strategy employs the same investment process as AGM's international equity strategies, but includes investments in US equities. AGM's US equity strategies include micro-cap, small-cap, mid-cap and multi-cap. The strategies invest the stocks of US issuers with market-cap relevant to each category. AGM employs an individual stock selection approach that is based on in-depth fundamental research, valuation and scenario analysis, rather than market timing or sector/industry concentration. The process employs the use of both qualitative and quantitative analysis. AGM's investment grade fixed-income strategy focuses on investments in the high grade debt of both US and non-US issuers. Their main offering is the Artio Total Return Bond Strategy, which must invest at least 60% of portfolio assets in the US fixed-income markets and also seeks to take advantage of opportunities in the investment grade non-US markets. The Artio High Yield Strategy invests in securities issued by non-investment grade issuers in both developed and emerging markets. AGM's core plus strategy combines their investment grade fixed-income strategy with their high yield strategy. The strategy employs an allocation model to complement the firm's top-down macro view. | Chief Investment Officer | 31.12.2012 |
Julius Baer Securities | Corporate Officer/Principal | 31.12.1999 |
United Nations Joint Staff Pension Fund
United Nations Joint Staff Pension Fund Investment ManagersFinance UNJSPF’s Office of Investment Management (OIM) is responsible for achieving the optimal investment return for the Fund, avoiding undue risk to meet the Fund’s long-term investment return objectives, as well as meeting or exceeding the Policy Benchmark over the short-term. The Fund invests in various asset classes such as global public equities, bonds, real estate, private equities, infrastructure, timber and agricultural lands and cash and short-term securities. The Fund mitigates risks through diversification in asset classes, geographical regions/countries, currencies, sector/industry, securities, investment strategies, and market capitalizations. | Corporate Officer/Principal | 01.01.1997 |
Ausbildung von Michael Testorf
Erfahrungen
Besetzte Positionen
Aktive
Inaktive
Börsennotierte Unternehmen
Private Unternehmen
Beziehungen
Beziehungen ersten Grades
Unternehmen ersten Grades
Herr
Frau
Aufsichtsräte
Führungskräfte
Unternehmensverbindungen
| Private Unternehmen | 6 |
|---|---|
Artio Global Management LLC
Artio Global Management LLC Investment ManagersFinance Artio Global Management (AGM) manages a variety of global equity and fixed-income investment strategies. The firm focuses on creating highly-diversified portfolios of attractive securities that are based on benchmarks, while being willing to actively depart from them in the pursuit of superior risk-adjusted returns. Their strategies include international equity, global equity, US equity, investment grade fixed-income, high yield and core plus. AGM's international equity strategies are core strategies that do not attempt to follow either a growth approach or a value approach. The strategies invest in equity securities in developed and emerging markets outside the US. They seek to maintain a diversified core portfolio that is driven by dynamic sector and company fundamental analysis. AGM's objective is to invest in a highly-diversified portfolio of the most relatively attractive securities in over 20 countries. The Artio Global Equity Strategy is a core, multi-cap equity strategy that invests in companies throughout the world. The strategy employs the same investment process as AGM's international equity strategies, but includes investments in US equities. AGM's US equity strategies include micro-cap, small-cap, mid-cap and multi-cap. The strategies invest the stocks of US issuers with market-cap relevant to each category. AGM employs an individual stock selection approach that is based on in-depth fundamental research, valuation and scenario analysis, rather than market timing or sector/industry concentration. The process employs the use of both qualitative and quantitative analysis. AGM's investment grade fixed-income strategy focuses on investments in the high grade debt of both US and non-US issuers. Their main offering is the Artio Total Return Bond Strategy, which must invest at least 60% of portfolio assets in the US fixed-income markets and also seeks to take advantage of opportunities in the investment grade non-US markets. The Artio High Yield Strategy invests in securities issued by non-investment grade issuers in both developed and emerging markets. AGM's core plus strategy combines their investment grade fixed-income strategy with their high yield strategy. The strategy employs an allocation model to complement the firm's top-down macro view. | Finance |
United Nations Joint Staff Pension Fund
United Nations Joint Staff Pension Fund Investment ManagersFinance UNJSPF’s Office of Investment Management (OIM) is responsible for achieving the optimal investment return for the Fund, avoiding undue risk to meet the Fund’s long-term investment return objectives, as well as meeting or exceeding the Policy Benchmark over the short-term. The Fund invests in various asset classes such as global public equities, bonds, real estate, private equities, infrastructure, timber and agricultural lands and cash and short-term securities. The Fund mitigates risks through diversification in asset classes, geographical regions/countries, currencies, sector/industry, securities, investment strategies, and market capitalizations. | Finance |
Julius Baer Securities | Finance |
ClearBridge Investments LLC
ClearBridge Investments LLC Investment ManagersFinance ClearBridge Investments is a global equity manager that seeks to deliver long-term results through authentic active management by offering investment solutions that emphasize differentiated, bottom-up stock selection. The firm offers strategies focused on three primary client objectives: high active share, income solutions and low volatility. ClearBridge Investments performs research on an ongoing basis for the maintenance of existing investments, and to identify new investment opportunities. They integrate ESG considerations into their fundamental research process across all strategies. | Finance |
Wirtschaftsakademie Hamburg
Wirtschaftsakademie Hamburg Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
R Squared Capital Management LP
R Squared Capital Management LP Investment ManagersFinance R-Squared Capital Management focuses exclusively on investments in international equities. | Finance |
















