Profiel
Mr. Thomas Stämpfli is a Founder & Member of the Board at Tom Capital AG and a Chairman at Deltavista International AG.
He is also Head of Asset Management.
He has spent the last 25 years mining data and building models to forecast the probability of future events to make profit-enhancing decisions.
He founded Deltavista and led it to the dominant market leader in predicting the default probability of companies and private persons.
Previously, he developed spread trading models for the equity market with Salomon Brothers in New York; this was followed by the establishment of Leikauf, Schmid & Stämpfli with two partners, which offered systematic and fully automated trading strategies in the futures markets.
He has a degree in business administration, finance, and accounting, from the University of St. Gallen.
Actieve functies van Thomas Stämpfli
| Bedrijven | Functie | Begin |
|---|---|---|
Deltavista International AG
Deltavista International AG Data Processing ServicesTechnology Services Operates as a holding company with interests in data management services | Voorzitter | - |
Tom Capital AG
Tom Capital AG Investment ManagersFinance Tom Capital aims to preserve and grow the capital of their clients along with them. The firm invests systematically and well diversified in the most liquid financial markets. They integrate proven investment knowledge and advanced data science into a unique investment process. This generates returns uncorrelated with most common investment approaches while limiting drawdowns. Their portfolio construction and risk management process broadly diversify risk over multiple asset classes and markets reducing the volatility of the portfolio. | Algemeen Directeur | 01-01-2011 |
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| Bedrijven in privébezit | 2 |
|---|---|
Deltavista International AG
Deltavista International AG Data Processing ServicesTechnology Services Operates as a holding company with interests in data management services | Technology Services |
Tom Capital AG
Tom Capital AG Investment ManagersFinance Tom Capital aims to preserve and grow the capital of their clients along with them. The firm invests systematically and well diversified in the most liquid financial markets. They integrate proven investment knowledge and advanced data science into a unique investment process. This generates returns uncorrelated with most common investment approaches while limiting drawdowns. Their portfolio construction and risk management process broadly diversify risk over multiple asset classes and markets reducing the volatility of the portfolio. | Finance |
















