Justin Mark Flowerday

Vice President & Director at TD Asset Management, Inc.

Justin Mark Flowerday

Justin Mark Flowerday

Vice President & Director at TD Asset Management, Inc.

Biography

Mr. Justin M. Flowerday, CFA MBA, is Vice President & Director at TD Asset Management, Inc. (TDAM). He joined the firm in March 2004 and currently the Head Research, Fundamental Equities. Mr. Flowerday began his career at TDAM as an equity analyst, and over the years has assumed lead coverage for global Technology, Media, Telecommunications, Industrials, and most recently, the Canadian Banks. Previously, he worked with TD Wealth Private Investment Counsel Inc. as a Research Analyst in a generalist capacity. Mr. Flowerday holds a Bachelor of Commerce degree from McGill University and an MBA from the University of London. He is a CFA charterholder.

Overview
RelSci Relationships

135

Number of Boards

1

Number of Awards

1

Relationships
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Managing Director at TD Asset Management, Inc.

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Managing Director at TD Asset Management, Inc.

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Chief Executive Officer & Chief Investment Officer at TD Asset Management, Inc.

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Former Chief Risk Officer & Chief Administration Officer at TD Asset Management, Inc.

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Managing Director & Head of Fixed Income at TD Asset Management, Inc.

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Managing Director at TD Asset Management, Inc.

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Former Vice Chairman at TD Asset Management, Inc.

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Chief Investment Officer at Ontario Municipal Employees Retirement System

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Former Vice President & Director at TD Asset Management, Inc.

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Vice President & Director at TD Asset Management, Inc.

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Justin Mark Flowerday
Vice President & Director at TD Asset Management, Inc.
Education
Bachelor of Commerce Degree
Class of 1999

McGill University is a public research university located in Montreal, Quebec, Canada. Founded in 1821 during the British colonial era, the university bears the name of James McGill, a prominent Montreal merchant from Glasgow, Scotland and alumnus of Glasgow University, whose bequest formed the beginning of the university.

MBA

London Business School (LBS) is an international business school and a constituent college of the federal University of London, located in central London, England, United Kingdom, beside Regent's Park. It was established in 1964, after the Franks Report recommended the establishment of two business schools, as part of existing universities (London Business School and Manchester Business School), but with considerable autonomy.

Career History
Vice President & Director
2004 - Current

TD Asset Management, Inc. offers a variety of fundamental and quantitative investment strategies including actively managed money market funds, fixed income, balanced, yield-focused, equities and alternative investments. The firm invests globally, employing active and passive strategies, across a range of investment styles including growth, value and GARP. They offer active, enhanced and passive pooled fund strategies. TD Asset Management also offers segregated account management, as well as alternative investments strategies including absolute return and portable alpha funds. The firm offers customized investment solutions including liability-driven investing, TD Asset Management Policy Pro, currency and asset mix overlay and transition management services, among others. The firm takes environmental, social, governance (ESG) issues into account and, where possible, integrates these factors into their investment decision process.

Boards & Committees
Vice President & Director
Current

TDAM employs various methods of security analysis. The firm's fixed income investment philosophy is based upon strong and independent credit research. Proprietary research is vital to the firm's investment process and forms the basis for all of their investment decisions. Within the quantitative investment strategies, TDAM use a number of proprietary risk models to evaluate companies and select investments. The Low Volatility Equity strategy relies on proprietary risk models to construct optimized portfolios of stocks which have demonstrated lower long-term volatility. These risk models use statistical methods to capture the relationships between currency and stock return fluctuations. Similarly, the Systematic Alpha strategy relies on proprietary return factor models, which use statistical methods to determine the properties of stocks that have historically been associated with superior performance. Core factors include value (higher earnings and dividend yields), market sentiment (price momentum and earnings revisions), quality (profitability, operating efficiency, distance-to-default), and corporate management (shareholder friendly practices). Each of these strategies invest in a diversified portfolio of equity securities including, but not limited to, common and preferred stocks, securities convertible into common stocks, ETFs, American Depository Receipts, and real estate investment trusts. Each of these strategies will also invest in money market securities and other cash management vehicles.

Awards & Honors
CFA (Chartered Financial Analyst)
Other Affiliations

Justin Mark Flowerday is affiliated with TD Asset Management, Inc., TD Asset Management, Inc.

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