Profil
Mr. Hicham Zemmouri is Senior Portfolio Manager at Delta Lloyd Asset Management NV.
He gained his investing experinec in emerging markets during his five-year employment with Shell Asset Management Company (SAMCO), where he was senior portfolio manager.
Previously to that he contributed to the strategy of the ABN AMRO Bank as senior economist, responsible for the Eurozone economy.
He also gained valuable knowledge in emerging markets as an economist for Turkey and South Africa at Oxford Economic Forecasting.
Mr. Zemmouri holds a Master of Science degree in Economics from the University of Glasgow and a Bachelor's degree from the University of 'Paris-Dauphine'.
Tidigare kända positioner av Hicham Zemmouri
| Företag | Position | Slut |
|---|---|---|
Delta Lloyd Asset Management NV
Delta Lloyd Asset Management NV Investment ManagersFinance DLAM is an active, value-oriented manager which invests in global debt and equity across market-caps. They share research with other Delta Lloyd subsidiaries and make investment decisions based on asset allocation and a quantitative approach, focusing on fundamental macroeconomic, geographic and capital market factors. The firm utilizes a bottom-up approach to construct concentrated fixed-income portfolios, aiming to in invest in undervalued companies with a good profit expectation, good management and high dividends. They analyze companies' business activities and management, managing risk by investing in companies across industries that they know well, primarily in The Netherlands, Europe and Asia. DLAM is a risk-averse, benchmark agnostic, fixed-income investor which utilizes bottom-up and top-down research to construct diversified portfolios, weighing risk and return and analyzing factors such as debtors, duration, inflation, country allocation, currency and yield curve. All fixed-income investments are managed by the same team of specialists responsible for the investment. | Portfolio Manager-Fixed Income | 2017-04-01 |
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| Privata företag | 1 |
|---|---|
Delta Lloyd Asset Management NV
Delta Lloyd Asset Management NV Investment ManagersFinance DLAM is an active, value-oriented manager which invests in global debt and equity across market-caps. They share research with other Delta Lloyd subsidiaries and make investment decisions based on asset allocation and a quantitative approach, focusing on fundamental macroeconomic, geographic and capital market factors. The firm utilizes a bottom-up approach to construct concentrated fixed-income portfolios, aiming to in invest in undervalued companies with a good profit expectation, good management and high dividends. They analyze companies' business activities and management, managing risk by investing in companies across industries that they know well, primarily in The Netherlands, Europe and Asia. DLAM is a risk-averse, benchmark agnostic, fixed-income investor which utilizes bottom-up and top-down research to construct diversified portfolios, weighing risk and return and analyzing factors such as debtors, duration, inflation, country allocation, currency and yield curve. All fixed-income investments are managed by the same team of specialists responsible for the investment. | Finance |
















