Profiel
Mr. Arnd Mühle was a Spokesman of Management Board at Landesbank Berlin Investment GmbH.
His main responsibility was the fund and asset management for equities and bonds.
From 1996 until the end of 2015 he worked at Landesbank Berlin AG (formerly: Bankgesellschaft Berlin AG) in various leading positions at different locations.
He started as head of portfolio management for propriety investments, continued as head of controlling for key accounts and subsequently worked at Landesbank Berlin’s London Branch as investment manager for asset-backed securities.
In 2004 he returned to Berlin to become head of the bank’s long term funding.
In 2008 he was appointed general manager of the Bank’s Luxembourg and London Branches as well as CEO of Landesbank Berlin International S.A. in Luxembourg.
He started his professional career at WestLB in the public loans department before taking over a position in swap settlements.
From 1993 on he worked in WestLB (Europe) AG’s Copenhagen Branch, first as credit analyst for Scandinavian banks and corporate, later in derivative sales for institutional consumers.
He undertook his training as a banker with WestLB and subsequently graduated in business administration.
He also took part in the executive education program „The Challenge of Leadership“ of INSEAD in Fontainebleau/Singapore.
Eerdere bekende functies van Arnd Mühle
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Deka Vermögensmanagement GmbH
Deka Vermögensmanagement GmbH Investment ManagersFinance Deka is an active, value-oriented investor which manages portfolios invested in equity and fixed-income across strategies, market-caps, regions and sectors with a focus on European markets. They utilize vehicles such as equity and fixed-income funds, structured products, fund of funds, as well as industry or region specific specialty funds. The firm concentrates on so-called boutique funds, which also use the expertise of specialized external asset managers. The investment funds of Deka are managed by experienced securities specialists. Their portfolio managers incorporate fundamental, quantitative and market considerations into their decisions. The investment process is rounded off by strict risk management. The firm's investment philosophy is based on fundamental, quantitative and technical research which aims to achieve systematic and repeatable investment processes. Deka follows bottom-up, sector-oriented approach to select domestic investments and a top-down approach when investing in global markets. | Algemeen Directeur | 01-04-2018 |
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| Bedrijven in privébezit | 1 |
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Deka Vermögensmanagement GmbH
Deka Vermögensmanagement GmbH Investment ManagersFinance Deka is an active, value-oriented investor which manages portfolios invested in equity and fixed-income across strategies, market-caps, regions and sectors with a focus on European markets. They utilize vehicles such as equity and fixed-income funds, structured products, fund of funds, as well as industry or region specific specialty funds. The firm concentrates on so-called boutique funds, which also use the expertise of specialized external asset managers. The investment funds of Deka are managed by experienced securities specialists. Their portfolio managers incorporate fundamental, quantitative and market considerations into their decisions. The investment process is rounded off by strict risk management. The firm's investment philosophy is based on fundamental, quantitative and technical research which aims to achieve systematic and repeatable investment processes. Deka follows bottom-up, sector-oriented approach to select domestic investments and a top-down approach when investing in global markets. | Finance |
















