Portfolio Manager and Lead Analyst
Gary started his career in audit at Deloitte before moving to J.P. Morgan where he worked in mergers and acquisitions and subsequently equity capital and derivative markets.
The investment bug bit and Gary moved laterally into J.P. Morgan’s proprietary trading business before joining a United States hedge fund.
Gary joined Arowana in 2014 as Chief Investment Officer. He spends the majority of his time as Portfolio Manager and Lead Analyst for the Arowana Contrarian Value Fund, a Listed Investment Company trading on the ASX under the ticker CVF.