Mark Evans, CFA

  • Portfolio Manager
  • London

Mark is a Portfolio Manager at GIB Asset Management. Mark is responsible for contributing to the research and analysis of new and existing sustainable strategies. He has more than 18 years of investment experience. Prior to joining GIB Asset Management, he worked from its launch on Jupiter Asset Management’s Global Sustainable Equities Fund and was previously an analyst on Jupiter’s Environmental and Sustainable Investment Team. He has also had investment roles with Citi Investment Research and M&G Investments.

Mark graduated with an MSc in Environmental Technology from Imperial College London and an MA degree in History from the University of Edinburgh. He is a CFA Charterholder.

My related insights

Explore all