Adrian Gosden

Adrian Gosden - Investment Director

Adrian Gosden, Investment Director, is responsible for fund management and investment strategy of UK Equities.

Prior to joining GAM Investments in September 2017, he worked as a fund manager managing a £10bn UK Income franchise at Artemis for 13 years. Prior to that, he was a fund manager of UK equities at Société Générale Asset Management for four years. From 1996 to 1998, Adrian Gosden worked as an investment analyst, responsible for pharmaceutical and telecoms sector research at Fleming Investment Management. He started his career at Andersen Consulting as a strategic consultant. Adrian holds a first-class degree in Chemistry from Oxford University. He is based in London. 

Adrian Gosden

My Insights

Investment Opinions

5 min read

A golden age for UK equities
12 April 2022

In 2020, the UK’s FTSE 100 delivered a negative return of -10% while returns from the Nasdaq reached 40%. The UK market’s fortunes have now turned, with the FTSE 100 the strongest performing developed markets index year to date (as at 11 April 2022).

Active Thinking

3 min read

Active Thinking
15 November 2021

At GAM Investments’ latest Active Thinking forum, two of our brightest investment minds discussed global economic growth rates and commented on macro headwinds impacting UK equities.

Investment Opinions

4 min read

UK equities: this summer’s hottest prospect?
08 July 2021

Adrian Gosden, Investment Director, UK Equities, suggests there are compelling opportunities for investors as a result of the major uptick in mergers and acquisitions (M&A) and corporate activity in the UK equity market.

Weekly Manager Views

5 min read

Weekly Manager Views: Equities
25 June 2021

At GAM Investments’ latest Equities Meeting, held on 22 June, our managers shared their thoughts on the recent corporate activity in the UK, the strength of European equities and the recent correction in China.

My Videos

Quarterly Manager Videos

4:40 min watch

UK Equities - Adrian Gosden
18 October 2021

Adrian Gosden highlights the complex nature of Q3, the likely resolution of some of the issues impacting UK equities and the two key areas where opportunities could emerge.