The AXG Advice team are comprised of seasoned industry professionals and talented financial practitioners.
The AXG Advice team are comprised of industry professionals and talented financial practitioners that have accumulated vast experience and skillsets with specialists in research, analysis and portfolio management allocation.
The AXG Advice team is well positioned to meet the demands now required and expected by private clients and their advisors, to be able to build and manage successful investment portfolios in a dynamic investment regulatory landscape.
has been in the financial services industry since 1990 and has previously worked for life companies, IFA’s, employee benefits consultants and stockbrokers. In addition, Adam has held the Compliance Oversight function for a number of companies and has demonstrated his knowledge and skill in constructing robust compliance structures for businesses both large and small. He is also founder and Director of his own independent consultancy specialising in providing bespoke FCA compliance advice and solutions for financial firms. Adam is IFA-qualified and also holds the IMC and the CISI Certificate in Securities.
Gary Day has been working in Financial
Services since he left the British Army in 1990 and during his career Gary has advised clients in various locations around the world in the Far East, Middle East, Europe and the UK. Gary is an Independent Financial Advisor regulated
by the Financial Conduct Authority and isalso a Regulated Pension Specialist. As a Regulated Advisor he is authorised to provide advice on a wide range of financial matters Pension Schemes and pension sharing in divorce cases. He is a member of The London Institute of Banking & Finance.
Head of Trading
An Economics graduate and financial markets professional with 15 years experience in trading global equity and fixed income markets. Specialising in macro economic fundamentals and technical analysis Gabor manages bespoke and model portfolios for HNW and institutional clients. He has held senior trading positions in London and Zurich. A holder of the Private Client Investment Advice and Management Certificate allows him to managed clients portfolios within an advisory or discretionary capacity across any asset class and is a member of the Chartered Institute for Securities and Investment.
Non Executive Director
John holds a Degree In Law (UCC) a Post Graduate Diploma in Corporate Finance from Chartered Accountants Ireland , is a Registered Stock Broker, a Registered Tax Consultant, a QFA, has Diplomas in Wealth Management & Investments, is a Member of Chartered Institute for Securities & Investments and a Member of the Institute of Bankers. John has 20 Years + experience in Private Investment & Corporate Finance Transactions (Disposals, Acquisitions, Valuations, Fund Raising) in both Ireland and the UK to the value of €200m. He has served in senior management positions with PLCs and AIM listed companies in addition to working with start-ups and established SMEs.
"Our platform offers clients and their adviser’s 24-hour access and allows immediate consolidation of all client investments, plus real-time portfolio valuations, comprehensive analysis of investments, details of asset exposure and performance measurement."