Mark Riggall

Portfolio Manager
Milford Team Mark Riggall

Mark is the Portfolio Manager of a number of Milford funds in addition to responsibility for managing the Central Dealing Desk. Prior to joining Milford in November 2014, Mark spent 11 years with Morgan Stanley in London and Hong Kong as an equity derivatives trader.

In Hong Kong he had responsibility for the Asia ex-Japan index derivatives business, running multiple regional derivative portfolios. Prior to that in London he ran a global equity derivatives portfolio in addition to a UK equity derivatives portfolio. Mark has a Masters of Engineering degree from the University of Bath, UK.

Related Articles

Month in a Minute: April 2024

Mark Riggall,6 May 2024

The pause that refreshes
After a very strong six months, April saw a pullback in global shares. This was accompanied by

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Month in a Minute: March 2024

Mark Riggall,9 April 2024

A bumper crop
March saw another very solid month of returns for the funds, helped by strong performances from our stock

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Month in a Minute: February 2024

Mark Riggall,8 March 2024

Newton’s 1st Law: An object in motion remains in motion
February delivered broadly positive fund performance for the fourth month in

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Month in a Minute: January 2024

Mark Riggall,9 February 2024

A Sizzling Summer
For the third month in a row, fund returns were positive, helped by a strong performance from our

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Month in a Minute: November 2023

Mark Riggall,8 December 2023

Patience Rewarded
November was a very strong month for returns, with gains across low and high-risk funds. Performance was driven by

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Month in a Minute: October 2023

Mark Riggall,7 November 2023

Laying the Foundation
Financial markets continue to adjust to the reality of “higher for longer” interest rates. Over the past three

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