About Baggot

About US

Experience the Baggot Difference.

Who we are and what we do.

Baggot, a Central Bank-regulated investment intermediary firm, excels in designing and supervising tailor-made investment strategies.

Leveraging global investment products and assets, we diverge from the norm of financial advisors and brokers who often delegate client business to large external managers for commission. Our approach centers on using our in-house expertise for active asset management. We cater to diverse risk profiles through a variety of investment strategies, often customizing portfolios to meet unique client requirements.

Since 2015, Baggot Investment Partners has proudly operated as a firm wholly owned by its management team. This unique ownership structure empowers us to focus solely on the best interests of our clients, free from external pressures.

We understand that every investor’s journey is personal. That’s why our dedicated team works closely with you to understand your financial aspirations, risk tolerance, and long-term objectives.

Whether you’re planning for retirement, building wealth, or managing your existing investments, our bespoke solutions are designed to navigate the complexities of the financial markets effectively.

Partner with us and experience the Baggot difference.

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Peter Brown

Peter has over 35 years’ experience in the financial markets and has managed treasury operations in financial institutions including Barclays, BNP, Ulster Bank and ACCBank.

Peter is an expert in foreign exchange, interest rate and market risk and has implemented treasury processes and procedures for a number of financial institutions. Throughout his banking career he advised clients on best practice with regards their treasury operations and has continued this work as a consultant.

As chief dealer and subsequently general manager of treasury, pensions and investments he became expert in structured finance, funding, trading, investments and risk management.

Peter’s economic analysis and expertise about the financial markets, is highly sought after by the Irish and international media. His direct manner, alongside his honest and clear assessments of present economic conditions, makes him very popular with the general public and the media alike, he features regularly on RTE, TV3, BBC World, RTE Radio, Today FM and NewsTalk.

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Tony Fitzpatrick

Tony is an accountant, Qualified Financial Advisor (QFA) and Chartered Wealth Manager with 30 years experience in financial services.

Tony began his career with MMI Stockbrokers & Liberty Asset Management in the area of financial management and compliance during which time he became a Securities Representative of the London Stock Exchange. Tony later moved to fintech business CR2 Digital Banking where he setup and managed their international finance functions and raised their largest round of venture capital investment.

Tony returned to financial services in 2002 joining Money Markets International, Irelands foremost treasury brokerage as Finance Director and Head of Compliance.

Tony’s expertise is in investment structures, corporate finance, risk management and regulation. As a Chartered Wealth Manager Tony has a particular interest in Financial Planning and assisting our clients in developing a road-map to secure their financial future.

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David Flynn

David has over 31 years of experience in Financial Markets. He also has a series 3 Commodity Trading Advisor License. He has also held Eurex Exchange and Registered Investment Advisor (R Licences)

Originally from the US, David started out in the Treasury Bond Pit at the Chicago Board of Trade.

David has also worked as a Senior Trader in Geneva Trading, Fortis Bank, Merrion Stockbrokers and most notably, the iconic hedge fund Brevan Howard where in 2008, he posted positive returns of nearly 20% while the S&P 500lost nearly 40%.

David holds an APA and Pension designations with the Institute of Bankers. Super Trader graduate designation from the esteemed Tharp Institute where he also served as a guest lecturer on the Super Trader Course, in the late 1990s on the subject of Technical Analysis.

He has held Series 3, Eurex Exchange, Xetra Exchange and Registered Investment Adviser (RIA) licenses.

David also served as a lecturer at the IIFT on Seasonality & Advanced Stock Investing and the Diploma in Investing. He has written investment pieces for The Sunday Independent & The Examiner.

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