Mark Richards

Mark Richards

Head of Investment Team, Dynamic Multi-Asset 

Bio

Mark joined BNP Paribas Asset Management in November 2022. Prior to joining BNP Paribas Asset Management, Mark was senior fund manager at Jupiter Asset Management, with responsibility for identifying and implementing key investment themes across a range of flexible and multi-asset strategies. Before, he held buy-side strategist roles at JP Morgan Asset Management and PIMCO, and sell-side strategist roles at Credit Suisse and ING. He began his career in 2004 as an economist at Lombard Street Research.

Mark holds a BSc in Business Economics from the University of Surrey. Mark is based in London.

Location London

Joined 2022

Articles from Mark Richards

Audio

Talking Heads – Caution after the market sell-off

Mark Richards, Head of Flexible and Absolute Return in our multi-asset team, and Daniel Morris, Chief Market Strategist, discuss the…

Audio

Talking Heads – The case for sovereign debt in multi-asset portfolios – and for gold

This material is intended for Institutional Investors (as defined in the Securities and Futures Act, Chapter 289 of Singapore) only…

Video
Chile solar energy panels

Thematic investing – Alchemy or the one-solution mix

This material is intended for Institutional Investors (as defined in the Securities and Futures Act, Chapter 289 of Singapore) only…

Asset Allocation Monthly – All that glitters is not gold(ilocks)

This material is intended for Institutional Investors (as defined in the Securities and Futures Act, Chapter 289 of Singapore) only…

Audio

Talking Heads – Offence or defence in multi-asset portfolios?

This material is intended for Institutional Investors (as defined in the Securities and Futures Act, Chapter 289 of Singapore) only…

Article
Curves road in fields

Asset Allocation Monthly – Different phases

This material is intended for Institutional Investors (as defined in the Securities and Futures Act, Chapter 289 of Singapore) only…

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