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Andrew joined Cannon Asset Managers in January 2007 after an 18 month stint as an Associate Lecturer at Wits. He lectured Econometrics and Microeconomics at the 2nd year level. Andrew is in the final stages of his Master of Economic Science degree at Wits, which will be completed by the end of 2008.
Andrew currently runs the asset and sector allocation models, helping Adrian tactically allocate the domestic portfolios. Along with this, he assists Adrian in managing the four offshore portfolios.
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