Home / People / Omar Malik
Portfolio Manager

Omar Malik

London School of Economics, BA
Omar has been a portfolio manager since April 2024. He joined Hosking Partners as a global equity analyst in 2022, working closely with the investment team, and bringing a measured yet contrarian perspective naturally aligned to the strategy.

Prior to Hosking Partners, Omar was a generalist on the global contrarian team at Wellington Management and has also spent time at PIMCO and M&G Investments.

He has spoken at a range of conferences and events including the Annual Value Investor Conference in Omaha and Manual of Ideas' Asian Investing Summit.
Omar Malik
Selected Perspectives View all
Hosking Post 20 May 2026

Syncona

In the crosshairs of Big Pharma.

6 min read
Event 28 May 2025

The Capital Cycle Way

Portfolio Manager Omar Malik's speech at the Value Investor Conference

26 min read
Hosking Post 26 May 2025

Metamorphosis

The Capital Cycle in Chemicals.

11 min read
Hosking Post 30 Apr 2023

A focus on Canadian oil sands

Could this much maligned industry offer hidden benefits as the energy transition unfolds?

11 min read
Quarterly Report 21 Jul 2026

Q2 2026 – Quarterly Report Commentary

The Hosking Partners strategy delivered another strong period of absolute returns, adding 11.7% (net) in the second quarter and taking year-to-date returns to 15.3% (net). After materially outperforming the MSCI ACWI benchmark in the first quarter, the strategy’s double digit returns in the second quarter trailed the benchmark as a near-term return to animal spirits […]

8 min read