Profil
Mr. Robert Moyse is a Managing Director at FAME Investments AG.
He is one of the core team members specialising in market analysis and asset allocation.
His expertise is confirmed by 25 years of experience in financial markets.
In addition, Robert also hosts educational seminars in finance, money markets and foreign exchange at universities in Austria.
Tidigare kända positioner av Robert Moyse
| Företag | Position | Slut |
|---|---|---|
FAME Investments AG
FAME Investments AG Investment ManagersFinance FAME Investments’ main philosophy is based on four core values: client orientation, professionalism, transparency and independence. After detailed historical analysis, the firm carefully selects the most suitable funds for each asset class from a universe of thousands of investment funds. Each portfolio usually contains 10 to 15 of these funds and no more than three funds from any particular fund company, providing clients with an even broader diversification. Their detailed quantitative analysis of historical performance is based on various risk and return measures including performance, volatility, analysis of ratings, peer group comparisons, fund base-currency and due diligence of the investment philosophy of the fund companies. | Företagsledare/Principal | 2018-12-01 |
Erfarenheter
Innehade positioner
Aktiva
Inaktiva
Börsnoterade företag
Privata företag
Relationer
Första gradens relationer
Företag kopplade till första graden
Man
Kvinna
Styrelseledamöter
Chefer
Kopplade företag
| Privata företag | 1 |
|---|---|
FAME Investments AG
FAME Investments AG Investment ManagersFinance FAME Investments’ main philosophy is based on four core values: client orientation, professionalism, transparency and independence. After detailed historical analysis, the firm carefully selects the most suitable funds for each asset class from a universe of thousands of investment funds. Each portfolio usually contains 10 to 15 of these funds and no more than three funds from any particular fund company, providing clients with an even broader diversification. Their detailed quantitative analysis of historical performance is based on various risk and return measures including performance, volatility, analysis of ratings, peer group comparisons, fund base-currency and due diligence of the investment philosophy of the fund companies. | Finance |
















