Lars joined the Real Return team in 2015. He is a portfolio manager on the team, with specific responsibility for alternative investments in our Global Real Return strategies. Lars also covers aspects of risk management, portfolio analysis and scenario testing of the strategy. He works closely with Newton’s independent risk team, which monitors and provides challenge to the overall portfolio construction of the strategy. Lars entered the industry in 2006, after graduating from the University of Durham with a BA Hons in Finance. He joined Newton in 2007 as a member of the investment performance team, with responsibility for the analysis of the Real Return strategy.

Joined industry
2006
Joined the Group
2007