Profil
Ms. Sandrine Vincelot-Guiet is Head of Balanced & Absolute Return Multimanagement at Vega Investment Managers SA. Ms. Vincelot-Guiet was previously employed as Head of Multimanagement & Fund Selection by 1818 Gestion SA and Directeur de la Gestion Collective by La Compagnie 1818 Gestion SA.
Tidigare kända positioner av Sandrine Vincelot-Guiet
| 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. | Chef-Ekonomiska Investeringar | 2014-01-01 |
1818 Gestion SA
1818 Gestion SA Investment ManagersFinance 1818 Gestion is an active investor and manages portfolios invested in money-market instruments, fixed-income and equity through a range of mutual funds including asset allocation funds, equity and fixed-income funds, fund of funds and segregated accounts. The firm follows a top-down approach for asset allocation based on third-party research provided by French and international brokers as well as field specialists. The asset allocation strategy is reviewed during meetings held on a monthly basis. Investment teams meet weekly to assess portfolio performance in relation with benchmarks and competition. 1818 Gestion's investment strategy for multi-manager products is supported by quantitative and qualitative research. The firm uses quantitative models to select best performing funds, while qualitative analysis aims to identify the best fund managers and assess their investment style. | Chef för investeringar | 2012-12-31 |
La Compagnie 1818 Gestion SA
La Compagnie 1818 Gestion SA Regional BanksFinance 1818 Gestion is an active investor and manages portfolios invested in money-market instruments, fixed-income and equity through a range of mutual funds including asset allocation funds, equity and fixed-income funds, fund of funds and segregated accounts. The firm's investment approach follows a top-down approach for asset allocation based on third-party research provided by French and international brokers as well as field specialists. The asset allocation strategy is reviewed during meetings held on a monthly basis. Investment teams also meet weekly to assess portfolio performance in relation with benchmarks and competition. 1818 Gestion's investment strategy for multi-manager products is supported by quantitative and qualitative research. The firm uses quantitative models to select best performing funds, while qualitative analyses aim to identify the best fund managers and assess their investment style | Chef för investeringar | 2009-07-15 |
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| Privata företag | 3 |
|---|---|
La Compagnie 1818 Gestion SA
La Compagnie 1818 Gestion SA Regional BanksFinance 1818 Gestion is an active investor and manages portfolios invested in money-market instruments, fixed-income and equity through a range of mutual funds including asset allocation funds, equity and fixed-income funds, fund of funds and segregated accounts. The firm's investment approach follows a top-down approach for asset allocation based on third-party research provided by French and international brokers as well as field specialists. The asset allocation strategy is reviewed during meetings held on a monthly basis. Investment teams also meet weekly to assess portfolio performance in relation with benchmarks and competition. 1818 Gestion's investment strategy for multi-manager products is supported by quantitative and qualitative research. The firm uses quantitative models to select best performing funds, while qualitative analyses aim to identify the best fund managers and assess their investment style | Finance |
1818 Gestion SA
1818 Gestion SA Investment ManagersFinance 1818 Gestion is an active investor and manages portfolios invested in money-market instruments, fixed-income and equity through a range of mutual funds including asset allocation funds, equity and fixed-income funds, fund of funds and segregated accounts. The firm follows a top-down approach for asset allocation based on third-party research provided by French and international brokers as well as field specialists. The asset allocation strategy is reviewed during meetings held on a monthly basis. Investment teams meet weekly to assess portfolio performance in relation with benchmarks and competition. 1818 Gestion's investment strategy for multi-manager products is supported by quantitative and qualitative research. The firm uses quantitative models to select best performing funds, while qualitative analysis aims to identify the best fund managers and assess their investment style. | Finance |
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 |
















