Profiel
Ms. Alexandra Muchna is a Portfolio Manager at Raiffeisen Kapitalanlage-Gesellschaft mbH.
She joined Raiffeisen Capital Management's Bond team in 1998.
Her work concentrates on evaluating global economic trends and developing quantitative forecasting models.
Her assessments relate to yield developments, currencies, and money market rates.
As a fund manager, she is also responsible for several domestic fixed income portfolios, including inflation-linked bond funds.
Ms. Muchna spent two years working for Tokai Bank Europe, London, as an interest rate and currency analyst.
Ms. Muchna holds a bachelor's degree in economics from the London School of Economics and a master's degree from the University of Cambridge.
Actieve functies van Alexandra Muchna
| Bedrijven | Functie | Begin |
|---|---|---|
Raiffeisen Kapitalanlage-Gesellschaft mbH
Raiffeisen Kapitalanlage-Gesellschaft mbH Investment ManagersFinance Raiffeisen KAG believes that capital markets are not efficient. During their asset allocation process, their asset managers work in teams to develop and implement investment strategies, aiming to outperform the average market yield. Qualitative and quantitative analysis is the core of the firm's management approach. A team of in-house analysts use a bottom-up approach for equities and a top-down approach for fixed-income and umbrella fund investments. | Portfolio Manager-Fixed Income | 01-01-1998 |
Ervaring
Beklede functies
Actief
Inactief
Beursgenoteerde bedrijven
Bedrijven in privébezit
Connecties
Eerstegraads connecties
Bedrijven verbonden in de eerste graad
Man
Vrouw
Besturend
Uitvoerend
Verwante bedrijven
| Bedrijven in privébezit | 1 |
|---|---|
Raiffeisen Kapitalanlage-Gesellschaft mbH
Raiffeisen Kapitalanlage-Gesellschaft mbH Investment ManagersFinance Raiffeisen KAG believes that capital markets are not efficient. During their asset allocation process, their asset managers work in teams to develop and implement investment strategies, aiming to outperform the average market yield. Qualitative and quantitative analysis is the core of the firm's management approach. A team of in-house analysts use a bottom-up approach for equities and a top-down approach for fixed-income and umbrella fund investments. | Finance |
















