Profiel
Mr. Stéphane Furet is a Deputy Managing Director & Co-Head of Asset Management at Dorval Asset Management SA. He joined Dorval in 2004 to establish its collective investments arm.
He started his career in 1988 as French equity Sales Associate for institutional clients at Bourse Rondeleux SA and Nouailhetas SA, both stockbrokerage firms.
In 1991, he joined Oddo et Cie as Senior Manager specializing on French and European equities for the group's institutional clients.
Mr. Furet is a graduate of the ESLSCA Paris, majoring on Corporate Finance and is a member of the SFAF.
Actieve functies van Stéphane Furet
| Bedrijven | Functie | Begin |
|---|---|---|
Dorval Asset Management SA
Dorval Asset Management SA Investment ManagersFinance Dorval AM employs solid and ongoing investment processes based on a conviction-driven, active portfolio management approach. Their approach combines macroeconomic analysis, microeconomic assessment, considerations of valuations and market momentum. Their macroeconomists consistently monitor the latest events as they analyze the economic cycle and set the foundations for asset allocation, singling out investment themes tailored to the environment. They support portfolio managers-analysts as they seek out strong-performing companies, while this entire process is then rounded out by an analysis of sector trends in tandem with consideration of valuations and technical analysis, thus determining the firm’s convictions to build their stock-picking process and develop portfolio construction. | Portefeuillebeheerder-Aandelen | 01-01-2004 |
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| Bedrijven in privébezit | 1 |
|---|---|
Dorval Asset Management SA
Dorval Asset Management SA Investment ManagersFinance Dorval AM employs solid and ongoing investment processes based on a conviction-driven, active portfolio management approach. Their approach combines macroeconomic analysis, microeconomic assessment, considerations of valuations and market momentum. Their macroeconomists consistently monitor the latest events as they analyze the economic cycle and set the foundations for asset allocation, singling out investment themes tailored to the environment. They support portfolio managers-analysts as they seek out strong-performing companies, while this entire process is then rounded out by an analysis of sector trends in tandem with consideration of valuations and technical analysis, thus determining the firm’s convictions to build their stock-picking process and develop portfolio construction. | Finance |
















