Profiel
Isabelle Bourcier, formerly Head of Index Management at Lyxor International Asset Management SAS in 2010, Head of Business Development at Ossiam SA, Head of ETF & Indexed Fund Activities at THEAM SAS from 2016 to 2017, and Head of Quantitative & Index-based Management at BNP Paribas Asset Management Europe SAS from 2017 to 2022.
Eerdere bekende functies van Isabelle Bourcier
| Bedrijven | Functie | Einde |
|---|---|---|
BNP Paribas Asset Management Europe SAS
BNP Paribas Asset Management Europe SAS Investment ManagersFinance BNPP AM Europe aims to generate long-term sustainable returns for their clients, based on a sustainability-driven approach. Their approach combines a deep understanding of market dynamics and fundamentals (at the security, sector and theme level), which allows the firm to take strong positions and allocate capital dynamically over varied time horizons. | Head-Equity Investments | 01-03-2022 |
THEAM SAS
THEAM SAS Investment ManagersFinance THEAM is an active manager which specializes in structured, innovative and transparent solutions applied to equity, bond and multi-asset class portfolio management. The firm provides a range of investment solutions across their capital protection, indexing and model-driven divisions of expertise. Their capital protection solutions include a variety of thematic solutions suited to long-term savings, retirement or responsible investing. They offer standard and tailored formula funds managed systematically for total or partial protection across asset classes. Their indexing solutions, available as ETFs, index funds, mandates or dedicated funds, seek to passively replicate equity, bond and commodity market indexes and include innovative investment themes such as infrastructure or the environment. THEAM's Model-Driven Investments comprise an array of quantitative strategies based on different management styles and objectives for which managers use pure play strategies or design bespoke strategies based on their views and risk factors. | Director of Investments | 01-11-2017 |
Ossiam SA
Ossiam SA Investment ManagersFinance Ossiam is an active manager which designs investment strategies based on quantitative models and fundamental research and structures funds which integrate liquidity, tradability and representativity, ease of implementation and transparency into the investment and development process. Their management team has expertise in systematic trading strategies, quantitative research and management, multi strategy fund, fund of funds and structured funds management. The firm’s product range provides access to strategies with variable risk profiles (long only, long/short, variable exposure, guaranteed capital) across all asset classes (equity, fixed-income, currency, commodities, inflation linked). To implement the strategies and monitor all risk indicators and fund performance parameters, they are transposed into rules-based strategy indexes calculated by an independent calculating agent or index provider. Their Equal Weight Strategy aims to provide investors with a more diversified exposure to a given stock market, avoiding domination of a small group of stocks in the index (concentration effect). The minimum Variance strategy is an investment approach that seeks to enhance portfolio efficiency while reducing volatility by forecasting future level of risk associated with different stock combinations and integrating this information to construct a lower-risk portfolio. Their Risk Weighted Enhanced Commodity Strategy offers exposure to the asset class with better participation from all commodity sectors (avoiding concentration in oil) and a more efficient risk allocation in a global portfolio. | Corporate Officer/Principal | - |
Lyxor International Asset Management SAS
Lyxor International Asset Management SAS Investment ManagersFinance LIAM relies on quantitative strategies to manage a range of ETFs designed to track the world's key stock market indexes. The firm has access to the financial research and expertise of Société Générale's Corporate & Investment Banking division, which is present in all major markets and specializes in Euro capital markets, derivatives and structured finance. | Head-Equity Investments | - |
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| Bedrijven in privébezit | 4 |
|---|---|
BNP Paribas Asset Management Europe SAS
BNP Paribas Asset Management Europe SAS Investment ManagersFinance BNPP AM Europe aims to generate long-term sustainable returns for their clients, based on a sustainability-driven approach. Their approach combines a deep understanding of market dynamics and fundamentals (at the security, sector and theme level), which allows the firm to take strong positions and allocate capital dynamically over varied time horizons. | Finance |
Lyxor International Asset Management SAS
Lyxor International Asset Management SAS Investment ManagersFinance LIAM relies on quantitative strategies to manage a range of ETFs designed to track the world's key stock market indexes. The firm has access to the financial research and expertise of Société Générale's Corporate & Investment Banking division, which is present in all major markets and specializes in Euro capital markets, derivatives and structured finance. | Finance |
Ossiam SA
Ossiam SA Investment ManagersFinance Ossiam is an active manager which designs investment strategies based on quantitative models and fundamental research and structures funds which integrate liquidity, tradability and representativity, ease of implementation and transparency into the investment and development process. Their management team has expertise in systematic trading strategies, quantitative research and management, multi strategy fund, fund of funds and structured funds management. The firm’s product range provides access to strategies with variable risk profiles (long only, long/short, variable exposure, guaranteed capital) across all asset classes (equity, fixed-income, currency, commodities, inflation linked). To implement the strategies and monitor all risk indicators and fund performance parameters, they are transposed into rules-based strategy indexes calculated by an independent calculating agent or index provider. Their Equal Weight Strategy aims to provide investors with a more diversified exposure to a given stock market, avoiding domination of a small group of stocks in the index (concentration effect). The minimum Variance strategy is an investment approach that seeks to enhance portfolio efficiency while reducing volatility by forecasting future level of risk associated with different stock combinations and integrating this information to construct a lower-risk portfolio. Their Risk Weighted Enhanced Commodity Strategy offers exposure to the asset class with better participation from all commodity sectors (avoiding concentration in oil) and a more efficient risk allocation in a global portfolio. | Finance |
THEAM SAS
THEAM SAS Investment ManagersFinance THEAM is an active manager which specializes in structured, innovative and transparent solutions applied to equity, bond and multi-asset class portfolio management. The firm provides a range of investment solutions across their capital protection, indexing and model-driven divisions of expertise. Their capital protection solutions include a variety of thematic solutions suited to long-term savings, retirement or responsible investing. They offer standard and tailored formula funds managed systematically for total or partial protection across asset classes. Their indexing solutions, available as ETFs, index funds, mandates or dedicated funds, seek to passively replicate equity, bond and commodity market indexes and include innovative investment themes such as infrastructure or the environment. THEAM's Model-Driven Investments comprise an array of quantitative strategies based on different management styles and objectives for which managers use pure play strategies or design bespoke strategies based on their views and risk factors. | Finance |
















