SOURCE: Glovista Investments LLC

Glovista Investments LLC

March 09, 2015 13:02 ET

Glovista Hires Mary Bourque as Managing Director - Sector Research

JERSEY CITY, NJ--(Marketwired - Mar 9, 2015) - Glovista Investments LLC, an investment manager specializing in Global Macro and Emerging Market strategies, announces the appointment of Mary Bourque as Managing Director - Sector Research within Glovista's investment team. "We are very pleased to be adding resources to our investment team," stated Co-Founder and Deputy CIO, Darshan Bhatt, CFA. "Sector research is an important complement to Glovista's top-down macro approach to investing. Having worked alongside Mary for years at JPMorgan, we are fully convinced that Mary's extra-ordinarily strong analytical capabilities and unusually broad knowledge base across the Energy, Materials and Industrial sectors will allow her to make invaluable contributions to our investment process," added Dr. Carlos Asilis, Co-Founder and CIO.

Mary brings significant experience in investment research, having spent over 15 years at JP Morgan. As Managing Director, she served as Director of Latin America/Emerging Europe equity research and Deputy Director of US equity research where she co-managed a 300-person research team. She was also a Senior Equity Analyst covering the Latin American Conglomerates and Oil & Gas sectors, and was ranked by Institutional Investor in both sectors, including eight consecutive years in conglomerates, and five years as the #1 analyst. Mary began her career at JP Morgan in the Latin American Mergers & Acquisitions group. Most recently, Mary served as Chief Operating & Financial Officer for Worldfund, a nonprofit organization dedicated to quality education in Latin America.

Mary holds an MA in International Economics and International Relations from the Johns Hopkins University School of Advanced International Studies (SAIS) and a BA in Chemistry from Dartmouth College.

Glovista Investments LLC is an SEC-registered and GIPS*-compliant investment advisor with offices in New Jersey, Florida and California. Glovista was formed by seasoned industry professionals with decades of financial markets experience spanning many geographic regions and products. Glovista employs global-macro analysis (top-down) combined with a deep value focus to generate risk-adjusted returns for investors. Glovista manages two flagship strategies on behalf of Institutional and High Net Worth clients including State and Municipal pension funds, Endowments, RIAs and Family Offices: the Emerging Market Equities strategy and the Global Tactical Asset Allocation strategy (GTAA). The Emerging Market Equities strategy has a 16-year GIPS compliant verified track record and has outperformed the MSCI Emerging Markets Index in 12 of 16 years. The GTAA strategy has a 7-year track record which has outperformed balanced and hedge fund indices since inception.

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