Profil
Nicolas Budin is currently Head of Equity Management at Myria Asset Management SASU since 2023.
Formerly, Mr. Budin was a Portfolio Manager at Vega Investment Solutions SA.
Aktiva positioner av Nicolas Budin
| Företag | Position | Start |
|---|---|---|
Myria Asset Management SASU
Myria Asset Management SASU Investment ManagersFinance Myria AM seeks to support the rise in equity markets while limiting the impact of a fall in these markets on net asset values through products managed in multi-management. The management of the different funds is based on a process which combines: (1) a Top-Down and quantitative approach in terms of determining the economic scenario and exposure to risky assets, and (2) a Bottom-Up approach in terms of assembling the best management expertise in all asset classes, complementary and with strong diversification power. | Chef-Ekonomiska Investeringar | 2023-01-01 |
Tidigare kända positioner av Nicolas Budin
| Företag | Position | Slut |
|---|---|---|
Vega Investment Managers SA
Vega Investment Managers SA Investment ManagersFinance VEGA IM is an active manager that has expertise in European markets and its growth management style. The firm is a pioneer in open architecture and sifts through several hundred investment funds to diversify portfolios across all asset classes. | Portföljförvaltare-Aktier | - |
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Kopplade företag
| Privata företag | 2 |
|---|---|
Vega Investment Managers SA
Vega Investment Managers SA Investment ManagersFinance VEGA IM is an active manager that has expertise in European markets and its growth management style. The firm is a pioneer in open architecture and sifts through several hundred investment funds to diversify portfolios across all asset classes. | Finance |
Myria Asset Management SASU
Myria Asset Management SASU Investment ManagersFinance Myria AM seeks to support the rise in equity markets while limiting the impact of a fall in these markets on net asset values through products managed in multi-management. The management of the different funds is based on a process which combines: (1) a Top-Down and quantitative approach in terms of determining the economic scenario and exposure to risky assets, and (2) a Bottom-Up approach in terms of assembling the best management expertise in all asset classes, complementary and with strong diversification power. | Finance |
















