Profil
Thomas Manuel worked as a Risk Analyst at Société Générale SA (UK) from 1997 to 1998.
He then worked as a Fund Analyst at Standard & Poors European Equity Research (France) in 1998.
From 2001 to 2004, he was a Co-Portfolio Manager & Senior Analyst at Loze & Associés SAS. Later, he worked as the Global Head of Credit Strategies at Lyxor Asset Management LLC from 2009 to 2017.
Mr. Manuel received his undergraduate and graduate degrees from Ecole Supérieure de Commerce de Reims.
Tidigare kända positioner av Thomas Manuel
| Företag | Position | Slut |
|---|---|---|
Lyxor Asset Management LLC
Lyxor Asset Management LLC Investment ManagersFinance Lyxor US incorporates top-down macroeconomic considerations and investment convictions and bottom-up manager-level analysis subject to limitations imposed by the specific client. As to portfolio construction, the firm relies upon a proprietary risk allocation model which is designed to guide their investment recommendations. | Head-Fixed Income Invts | 2017-04-01 |
Loze & Associés SAS
Loze & Associés SAS Regional BanksFinance Operates an investment fund | Företagsledare/Principal | - |
Standard & Poors European Equity Research (France) | Företagsledare/Principal | 1998-12-31 |
Société Générale SA (UK)
Société Générale SA (UK) Investment Banks/BrokersFinance Provides brokerage services | Analyst-Equity | - |
Thomas Manuels utbildningar
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Kopplade företag
| Privata företag | 5 |
|---|---|
Société Générale SA (UK)
Société Générale SA (UK) Investment Banks/BrokersFinance Provides brokerage services | Finance |
Loze & Associés SAS
Loze & Associés SAS Regional BanksFinance Operates an investment fund | Finance |
Ecole Supérieure de Commerce de Reims
Ecole Supérieure de Commerce de Reims Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Standard & Poors European Equity Research (France) | Commercial Services |
Lyxor Asset Management LLC
Lyxor Asset Management LLC Investment ManagersFinance Lyxor US incorporates top-down macroeconomic considerations and investment convictions and bottom-up manager-level analysis subject to limitations imposed by the specific client. As to portfolio construction, the firm relies upon a proprietary risk allocation model which is designed to guide their investment recommendations. | Finance |
















