Investment Management

John Bridgeman Limited’s investment strategy is to utilise tools to provide high returns while limiting volatility and drawdowns. The goal is to both identify market direction and to capture the volatility around the trend to enhance returns.

The Managing Director and Investment Manager, Stuart McAuliffe, has a strong track record of outperformance against market benchmarks.

Risk Management

Effective risk management depends on a range of factors including diversification of investments and other strategies.

The implementation of appropriate risk management strategies is critical to the management of investments by John Bridgeman Limited. These strategies are influenced by the philosophy of John Bridgeman Limited, which is based on understanding, in great detail, an investment opportunity’s investment metrics, a thorough understanding of the operating market and the risk associated with each investment. This information is cross checked against unlisted and listed market participants, competitors and industry experts, to gain a thorough and diverse information base for informed and well timed decisions.

PLAY

Interview with
Stuart McAuliffe,
Managing Director of
John Bridgeman

Mr Stuart McAuliffe was appointed as Managing Director in January 2015. Stuart has over 25 years’ experience investing in global equity, bond, currency and commodity markets. He has pioneered innovative research into the correlation and causation between different global equity and currency markets over short, medium and long term time periods.

Interview with
Stuart McAuliffe,
Managing Director of
John Bridgeman

Mr Stuart McAuliffe was appointed as Managing Director in January 2015. Stuart has over 25 years’ experience investing in global equity, bond, currency and commodity markets. He has pioneered innovative research into the correlation and causation between different global equity and currency markets over short, medium and long term time periods.