Profiel
Mr. Martin Schwaebel is a Portfolio Manager & Analyst at Lazard Asset Management (Deutschland) GmbH.
He joined in 2014.
He began to work in the investment field before joining Lazard.
He has a Master of Science in Finance and Macroeconomics from Goethe University Frankfurt and has a Bachelor of Science in Economics from University of Groningen.
Eerdere bekende functies van Martin Schwaebel
| Bedrijven | Functie | Einde |
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Lazard Asset Management (Deutschland) GmbH
Lazard Asset Management (Deutschland) GmbH Investment ManagersFinance Lazard AM Deutschland is an active manager which constructs portfolios that invest across a wide range of global, regional and country-specific strategies - both traditional and alternative - in listed equity and fixed income. Their Frankfurt-based portfolio managers, in conjunction with the group's global network, conduct fundamental research on securities from a large number of industries and countries. The firm follows a bottom-up investment approach. They have several teams of analysts, each specialized by asset class and industry, who conduct fundamental quantitative and qualitative research upon which portfolio managers base their investment decisions. Analysts complement their research by meeting the management of investees and using third-party research and databases. Portfolios are managed against benchmarks and investment decisions are team-based. | Analist-Vaste Inkomen | 01-06-2018 |
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| Bedrijven in privébezit | 1 |
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Lazard Asset Management (Deutschland) GmbH
Lazard Asset Management (Deutschland) GmbH Investment ManagersFinance Lazard AM Deutschland is an active manager which constructs portfolios that invest across a wide range of global, regional and country-specific strategies - both traditional and alternative - in listed equity and fixed income. Their Frankfurt-based portfolio managers, in conjunction with the group's global network, conduct fundamental research on securities from a large number of industries and countries. The firm follows a bottom-up investment approach. They have several teams of analysts, each specialized by asset class and industry, who conduct fundamental quantitative and qualitative research upon which portfolio managers base their investment decisions. Analysts complement their research by meeting the management of investees and using third-party research and databases. Portfolios are managed against benchmarks and investment decisions are team-based. | Finance |
















