Hugh Hawkins
Investment Manager

Our Investment Manager, Hugh Hawkins, has a deep understanding of quantitative finance and portfolio construction, enabling clients to achieve their financial goals through portfolios that deliver high-risk-adjusted returns.
Drawing on his expertise in financial markets, risk management, and strategic asset allocation, Hugh designs portfolios that align with clients’ objectives and risk appetite. He has authored a range of papers on portfolio management, covering topics such as defensive investing, robust frameworks for personalised financial planning, ethical investment considerations, dynamic approaches to balancing risk and return, and more. By continually staying informed about the latest financial research and trends, Hugh ensures that his clients benefit from the most current insights and strategies.
With 14 years of experience, Hugh navigates the dynamic nature of financial markets, optimising portfolios for sustainable long-term growth. When he’s not building portfolios, you’ll find Hugh enjoying his family’s company by the beach in Cornwall, indulging in activities such as surfing, walking, and paddleboarding. He’s also an avid homebrewer and a master of the BBQ.