LOM is comprised of a series of highly skilled executives with diverse financial, technical and relationship management backgrounds.
The executive consists of the following members:
- Donald P. Lines, O.B.E., F.C.A., J.P. - Chairman
- Scott Lines - President
- Malcolm Moseley - Executive Vice President and Chief Financial Officer
- Scott Hill - Managing Director, Global Custody & Clearing Limited
- Jon Heckscher - General Manager, LOM Asset Management Limited
Other Key Management, Selected Biographies
Grant Hopkins, CFA - Portfolio Manager, LOM Asset Management Limited
Grant Hopkins is a Portfolio Manager for LOM Asset Management Limited, the investment subsidiary of LOM (Holdings) Limited. Mr. Hopkins is the lead manager for the LOM Money Market Fund and the LOM Balanced Fund. As part of the portfolio management team, he is accountable for monitoring risk levels for all aspects of the portfolios which include; equities, fixed income, currencies and commodities.
Prior to joining LOM, Mr. Hopkins was an Equity Research Analyst at Ferris, Baker Watts in Baltimore, Maryland, a subsidiary of Royal Bank of Canada. He holds licenses for NASD Series 7, 86, and 87, and is a CFA charter holder and a member of the CFA Society of Bermuda.
David Barker - Head of Trading, Global Custody & Clearing Limited
David Barker joined LOM in February 2008 as Head of Trading. With more than 25 years of experience in the international financial industry, Mr. Barker has worked in both the US and Bermuda.
Mr. Barker started his career at the Bank of Bermuda and then moved to New York City to work at the Republic National Bank of New York. Mr. Barker has significant accomplishments in the areas of global fixed income, foreign exchange, IR products, futures, derivatives, commodities and global equities.
Nigel Bell, Int.Dip.(Comp). - Compliance Manager, Global Custody & Clearing Limited
Nigel Bell is the Group Compliance Manager and Money Laundering Reporting Officer of Global Custody & Clearing Limited. Mr. Bell brings over 10 years of Capital Markets experience with a strong Compliance background in equity, derivatives and index trading.
Before joining LOM in October 2010, Mr. Bell was the Equity Compliance Advisor at RBC Capital Markets in Toronto, supporting the global equity and electronic trading group. Prior to RBC, Mr. Bell was an Associate, Vice President at MGI Securities Inc, a small boutique firm in Toronto where he also supported the Institutional and retail trading desk. Mr. Bell also brings a significant amount of Compliance experience in trade surveillance, insider trading investigation and managing conflicts of interest through Chinese Walls and Wall crossing procedures including maintenance and monitoring of Grey/Watch and Restricted Lists activities at companies such as Royal Bank Capital Markets, MGI Securities Inc. and Scotia Capital.
Mr. Bell has successfully completed the ICA’s International Diploma in Compliance.
Michael Greaves - Sales Manager, LOM Securities (Bermuda) Limited
Michael Greaves joined LOM in November 2010. With over 20 years experience in the global financial markets, Mr. Greaves now heads up the Sales Department for the LOM Group.
Prior to joining LOM, Mr. Greaves was the Sales Manager at Maitland Group’s Asset Management division and was Senior Vice President at Prudential Bache Securities in London. He has obtained several industry qualifications, including the Series 3, 7, 63 and 65 NASD licenses in the US.