About us
London Capital is an investment management division of GLC Asset Management Group Ltd., a leading investment manager in Canada with $30 billion* in assets under management. We provide a growth-at-a-reasonable-price equity investment style that is consistently applied and does not waver with market hype. Our fixed income investment style integrates fundamental, quantitative and technical analysis to add value while managing risk.
Recognized for achieving results since 1961, we manage fixed income and equity investments over a broad range of investment mandates. Using proprietary research and a blend of quantitative and fundamental analysis, our investment process is proven and objective.
Our team
Our team works hard to recognize opportunities early for long-term results. We foster the collaboration of a group of highly qualified, skilled individuals who come together ready to achieve results. The team has an average of over 16 years of industry experience, with an average tenure of 14 years with London Capital.
Our senior portfolio managers build on the expertise of our team—they use data to make clear decisions and execute a plan designed to create consistent, steady results for investors.
The equity team
Each equity analyst focuses on a distinct sector, acquiring specialized expertise and in-depth knowledge of its industries and each company. This helps to identify the best investment opportunities as they develop and to capitalize on key drivers of stock performance.
- Gerry Chambers, Head Trader/Analyst
- Carl Choi, Analyst
- Dave Gill, Senior Vice-President
- Rob Lee, Associate Manager
- Ryan Marcy, Associate Manager
- Rob McCrindell, Vice-President
- Mark Vasey, Analyst
The fixed income team
Our long history of delivering results comes from having built a highly skilled team, with the experience and expertise to integrate fundamental, quantitative and technical analysis to add value while managing risk. The expertise of our fixed income team allows us to offer a broad range of fixed income mandates across the spectrum of maturity and credit risk sectors.
- Dale Haynes, Manager
- Susan Petersson, Senior Analyst
*as of Jan. 1, 2011

