Karen Ward

Chief Market Strategist at JPMorgan Asset Management (UK) Ltd.

Karen Ward

Karen Ward

Chief Market Strategist at JPMorgan Asset Management (UK) Ltd.

Overview
RelSci Relationships

778

Contact Data
Trying to get in touch with Karen Ward? Subscribe today to access their professional contact information and receive a one time promotion of free Contact Data credits!
Relationships
RelSci Relationships are individuals Karen Ward likely has professional access to. A relationship does not necessarily indicate a personal connection.

Portfolio Manager at JPMorgan Asset Management (UK) Ltd.

Relationship likelihood: Strong

Head of Global Rates at JPMorgan Asset Management (UK) Ltd.

Relationship likelihood: Strong

Second Permanent Secretary at HM Treasury

Relationship likelihood: Strong

Former Secretary & Director at HM Treasury

Relationship likelihood: Strong

President at JPMorgan Alternative Asset Management, Inc.

Relationship likelihood: Average

Vice President & Executive Director at JPMorgan Alternative Asset Management, Inc.

Relationship likelihood: Average

Executive Director & Fund Manager, JPMorgan Multi-Manager Alternatives Fund at JPMorgan Alternative Asset Management, Inc.

Relationship likelihood: Average

Co-Founder, Chief Executive Officer & CIO at JPMorgan Alternative Asset Management, Inc.

Relationship likelihood: Average

Executive Director at JPMorgan Alternative Asset Management, Inc.

Relationship likelihood: Average

Chief Operating Officer, Director at JPMorgan Alternative Asset Management, Inc.

Relationship likelihood: Average

Paths to Karen Ward
Potential Connections via
Relationship Science
You
Karen Ward
Chief Market Strategist at JPMorgan Asset Management (UK) Ltd.
Career History
Chief Market Strategist, Europe
2017 - Current

JPMorgan Investment Management's (JPMIM) investment approach is based on the premise that building an information advantage and capitalizing on it through active management is the key to investment success. The firm employs global fundamental research, quantitative valuation tools and bottom-up portfolio construction methods. Research analysts evaluate the US market by sector, while globally-based portfolio managers and analysts cover the international capital markets. JPMIM integrates the skills of their research analysts with those of experienced portfolio managers and economists to leverage information and choose the most fundamentally attractive investments. Investments are managed by teams, with portfolio managers working closely with research analysts. Portfolio managers typically purchase first and second quintile stocks while underweighting third, fourth and fifth quintile stocks. JPMIM looks for the stocks and ADRs of US and non-US companies with leadership positions in specialty niches, long-life product cycles, competitive cost structures, diversified client bases and significant insider ownership.

Chief Market Strategist
2017 - Current

JPAM-UK is an active manager which offers a range of global investments in equity, global fixed income, currency & commodities, global liquidity, index-oriented or beta and alternatives including absolute return & opportunistic fixed income, real estate, infrastructure, transportation and private equity. They also offer asset allocation strategies and multi-asset solutions, including fund of funds strategies and ESG solutions. When investing in equity securities, JPAM-UK's primary method of analysis is research oriented. As part of their fundamental research process, they typically rely on research analysts, portfolio managers, and stock screening procedures. The firm seeks to employ a disciplined approach to stock selection using a value-driven and macro-driven investing, although the fixed income investment process is driven largely by a bottom-up approach emphasizing security selection, close attention is paid to sector and sub-sector valuations and weightings.

Chief Market Strategist
Current

J.P. Morgan Alternative Asset Management (JPMAAM) invests assets in a wide range of instruments and markets across certain major strategies including, but not limited to, U.S. and non-U.S. equities and equity-related instruments, fixed income and other debt-related instruments, currencies, commodities and derivative instruments. Direct Investments may include U.S. and non-U.S. equities and equity-related instruments, restricted securities, special purpose acquisition companies, currencies, commodities, and derivative instruments, among others. JPMAAM generally employs six broad investment strategies: Long/Short Equities, Relative Value, Opportunistic/Macro, Merger Arbitrage/Event Driven, and Portfolio Hedge.

This web site is not endorsed by, directly affiliated with, maintained, authorized, or sponsored by Karen Ward. The use of any trade name or trademark is for identification and reference purposes only and does not imply any association with the trademark holder. The Presence of Karen Ward's profile does not indicate a business or promotional relationship of any kind between RelSci and Karen Ward.
  • be_ixf; php_sdk; php_sdk_1.4.15
  • https://relationshipscience.com/person/karen-ward-3651492
  • https://relationshipscience.com/person/karen-ward-3651492