Profile
Mr. Evan Duncan is an Assistant Fund Manager at Davy Global Fund Management Ltd. Before joining the fixed income team, he worked on the global equity investment team within Davy Asset Management as a Research Analyst.
Mr. Duncan began his investment career in 2017 in Davy Private Clients, working on the portfolio construction and portfolio management teams.
He was responsible for the ongoing management of client portfolios to ensure they were aligned with the investment committee’s views.
He was also responsible for making investment decisions daily around the implementation of the client’s agreed strategy while considering their risk tolerance, time horizon, individual liquidity and other constraints.
He holds a Bachelor of Science in Economics & Finance from University College Dublin.
He is also a Qualified Financial Adviser (QFA) with the Institute of Bankers in Ireland.
Former positions of Evan Duncan
| Companies | Position | End |
|---|---|---|
IQ EQ Fund Management (Ireland) Ltd.
IQ EQ Fund Management (Ireland) Ltd. Investment ManagersFinance IQ-EQ is an active manager with a distinctive quality-based approach to investing across equities and fixed income. The firm applies a sophisticated, proprietary definition of quality and integrates ESG continually through their investment process. Their segregated mandates and commingled funds follow a Quantamental approach that combines the freedom of judgement of fundamental investing with the bias-free objectivity of a quantitative model. | Analyst-Equity | 28/02/2019 |
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| Private companies | 1 |
|---|---|
IQ EQ Fund Management (Ireland) Ltd.
IQ EQ Fund Management (Ireland) Ltd. Investment ManagersFinance IQ-EQ is an active manager with a distinctive quality-based approach to investing across equities and fixed income. The firm applies a sophisticated, proprietary definition of quality and integrates ESG continually through their investment process. Their segregated mandates and commingled funds follow a Quantamental approach that combines the freedom of judgement of fundamental investing with the bias-free objectivity of a quantitative model. | Finance |
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