James Giblin

Fund Manager

James Giblin

James is responsible for managing a range of retail multi-asset funds, including a number of client model portfolios as part of LGIM’s Model Portfolio Service (MPS). He joined LGIM from LGT Wealth Management where he was a portfolio manager on the Model Portfolio team. James is a member of the Manager Research Group (MRG), with a focus on alternative investments. James graduated from the University of Nottingham and holds a Bachelor of Science degree in Economics. James is a CAIA (Chartered Alternative Investment Analyst) charterholder as well as a CISI Chartered Wealth Manager.

Other articles by James Giblin

LGIM explains: What is factor investing?
James Giblin
Investment strategy

LGIM explains: What is factor investing?

The premise of factor, or factor-based investing is relatively straightforward - by holding asset...
By James Giblin
22 Aug 2024
5 min read

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