Profil
Peter Dabros is currently working as a Senior Portfolio Manager at Impax Asset Management Denmark.
Previously, he worked as a Portfolio Manager at Sparinvest SA (Denmark) and as a Senior Portfolio Manager & Partner at Formuepleje A.
Aktiva positioner av Peter Dabros
| Företag | Position | Start |
|---|
Tidigare kända positioner av Peter Dabros
| Företag | Position | Slut |
|---|---|---|
Formuepleje A/S
Formuepleje A/S Investment ManagersFinance Formuepleje seeks to create attractive long-term returns for their clients, and to preserve and increase their wealth over time. The firm aims to construct relatively low-risk portfolios composed of a significant percentage of bonds and a smaller proportion of equities. | Portfolio Manager-Fixed Income | 2024-07-01 |
Sparinvest SA (Denmark)
Sparinvest SA (Denmark) Investment ManagersFinance Sparinvest DK applies value investing across all asset classes and offer investments across market-caps with regional exposure to Europe, the US, Japan, Pacific region and emerging markets. The firm’s core strategies include value equities, value bonds, strategic asset allocation, fixed-income, intelligent quant and real estate. They integrate ESG risk analysis in the investment process across strategies and asset classes, providing a risk management tool to minimize investor tail risk arising from sub-optimal environmental or social behavior. | Portfolio Manager-Fixed Income | 2014-10-01 |
Erfarenheter
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Kopplade företag
| Privata företag | 2 |
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Formuepleje A/S
Formuepleje A/S Investment ManagersFinance Formuepleje seeks to create attractive long-term returns for their clients, and to preserve and increase their wealth over time. The firm aims to construct relatively low-risk portfolios composed of a significant percentage of bonds and a smaller proportion of equities. | Finance |
Sparinvest SA (Denmark)
Sparinvest SA (Denmark) Investment ManagersFinance Sparinvest DK applies value investing across all asset classes and offer investments across market-caps with regional exposure to Europe, the US, Japan, Pacific region and emerging markets. The firm’s core strategies include value equities, value bonds, strategic asset allocation, fixed-income, intelligent quant and real estate. They integrate ESG risk analysis in the investment process across strategies and asset classes, providing a risk management tool to minimize investor tail risk arising from sub-optimal environmental or social behavior. | Finance |
















