Nick A. Haskins

Research Analyst at Moore Europe Capital Management LLP

Nick A. Haskins

Nick A. Haskins

Research Analyst at Moore Europe Capital Management LLP

Biography

Mr. Nick A. Haskins is a Research Analyst at Moore Europe Capital Management LLP.He was previously employed as an Analyst by ABN AMRO Bank NV and Moore Capital Management LP.

Overview
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Former Limited Partner at Moore Capital Management LP

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Analyst at Point72 Europe (London) LLP

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Partner & Portfolio Manager at Point72 Europe (London) LLP

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Portfolio Manager at Moore Capital Management LP

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Director & President at Moore Capital Management LP

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Sector Head at Gladstone Capital Management LLP

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Former Portfolio Manager at Moore Europe Capital Management LLP

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Former Senior Portfolio Manager at Moore Europe Capital Management LLP

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Former Portfolio Manager at Moore Europe Capital Management LLP

Relationship likelihood: Average

Analyst at Moore Capital Management LP

Relationship likelihood: Average

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Nick A. Haskins
Research Analyst at Moore Europe Capital Management LLP
Career History
Research Analyst
2007 - Current

MECM is a risk-conscious, growth-oriented alternative investment manager focused return consistency, controlled volatility and capital preservation. The firm follows a global macro strategy, placing large directional bets on stocks and equity derivatives, fixed income including high-yield bonds, currencies and commodities. MECM invests in a variety of asset classes, seeking to enter moving markets including remote niche markets. Although guided by a long-term macro-economic view, the firm's technical investment style is dynamic and opportunistic, based on conviction and a high sensitivity to market fluctuations, involving frequently moving in and out of positions. Their investment process is based on risk assessment, and begins with a quantitative risk/return model focused on rate of return growth vs. risk potential. MECM follows a limited number of investment themes, managing focused portfolios.MECM follows a long/short strategy. They seek to profit from market rebounds and also invest in distressed securities to hold short positions. They hold a sizeable minority interest in a company specializing in Russian real estate.

Research Analyst
Prior

Moore Capital Management's (MCM) generally bases investment decisions on their analysis of fundamental economic, financial and political events, their analysis of the markets themselves and their analysis of the potential risk and reward of a market position. The firm mainly uses fundamental and price and market analysis. In weighing factors to make investment decisions, MCM pays close attention to each investment's risk-reward potential, how it fits into the risk profile of the entire portfolio and whether it is consistent with their global macro view.^^MCM's global macro strategy seeks to achieve the highest return on capital consistent with the management of the risk of capital loss through investments and transactions, both long and short, across global markets. The strategy emphasizes directional positioning and also, to a lesser extent, relative value and credit strategies. Because of the diversified nature of their global macro strategy, MCM has implemented various other strategies including fixed- income, emerging markets, private equity and distressed securities.^^The firm's emerging markets strategy is designed to achieve long-term capital appreciation with diversification of risk. MCM seeks to accomplish this by investing mainly in emerging markets, including securities markets that have recently become available to outside investment and securities markets in developing countries believed to have the potential for economic growth. Investments include the securities of an issuer organized or doing substantial business in a country identified as an emerging market or other investments designed to provide access to an emerging market. MCM enters into transactions in foreign exchange and interest rate sensitive instruments for hedging and investment purposes. A significant portion of the assets may be invested in developed markets for hedging or risk management purposes and in reaction to or anticipation of events in emerging markets. MCM may make a variety of investments across global markets including equity securities, stock indices, precious metals and traditional and base industrial commodities through investment in the spot, forward, futures, options and swap markets. They may also invest in hybrid securities and other derivative instruments, as well as private equity, structured transactions and illiquid investments.

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