Profil
Claus Mansfeldt is currently the Chairman and Managing Director at Swancap Investment Management SA and the Chairman at Luxembourg Private Equity & Venture Capital Association.
In the past, he worked as a Principal at Nomura Asset Management Europe KVG mbH from 1995 to 1999 and as a Principal at Commerzbank AG (Investment Management).
He completed his undergraduate degree at the London School of Economics & Political Science.
Postes actifs de Claus Mansfeldt
| Sociétés | Poste | Début |
|---|---|---|
Swancap Investment Management SA
Swancap Investment Management SA Investment ManagersFinance SwanCap provides access to a range of private markets investments including Private Equity Fund Investments both primary & secondary ^ Direct investments in Equity & Debt alongside global & regional financial sponsors ^ Direct Investments in Equity & Debt directly with corporate relationships^ Geographically focus on DACH (Germany, Austria, Switzerland), Italy, Emerging Europe and North America.^ | Private Equity Investor | - |
Luxembourg Private Equity & Venture Capital Association
Luxembourg Private Equity & Venture Capital Association Investment ManagersFinance Operates as a private equity and venture capital firm | Président | - |
Anciens postes connus de Claus Mansfeldt
| Sociétés | Poste | Fin |
|---|---|---|
Nomura Asset Management Europe KVG mbH
Nomura Asset Management Europe KVG mbH Investment ManagersFinance Nomura AM Deutschland is an active investor and manages diversified portfolios with alpha potential invested in equity, fixed-income and money-market instruments. The firm focuses primarily on Japanese and Asia-Pacific equity as well as European fixed-income. As part of the Nomura Group, which is the market leading asset manager in Japan, Nomura AM Deutschland combines international expertise and local presence, and relies on research provided by their parent company's analysts for investments in Asia. The firm follows a bottom-up investment approach and utilizes fundamental, technical and quantitative management processes. They perform in-house qualitative research but also use mathematical and statistical models to identify investment opportunities. Risk management is integrated to each step of the investment process and a risk management team permanently controls portfolios. The fund management team meets daily to evaluate market conditions and make investment decisions. | Corporate Officer/Principal | 31/12/1999 |
COMMERZBANK AG (Investment Management)
COMMERZBANK AG (Investment Management) Investment ManagersFinance Commerzbank-IM employs active asset management strategies, launched as public or special funds as well as advisory/outsourcing mandate in external funds. Depending on the product or mandate, the investment approach may use fundamental, quantitative and/or technical research. The firm’s pensions and stock selection strategies follows a benchmark universe and make selections utilizing a research overlay on the bond side and a quantitative filter for equities. For their overlay strategies, Commerzbank-IM focuses on active-quantitative asset management across all asset classes with liquid hedging instruments. Their market-neutral option strategies offer investors the opportunity to achieve positive returns regardless of the movements of the stock market. | Corporate Officer/Principal | - |
Formation de Claus Mansfeldt
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
Relations
Relations au 1er degré
Entreprises liées au 1er degré
Homme
Femme
Administrateurs
Exécutifs
Sociétés liées
| Entreprise privées | 5 |
|---|---|
Nomura Asset Management Europe KVG mbH
Nomura Asset Management Europe KVG mbH Investment ManagersFinance Nomura AM Deutschland is an active investor and manages diversified portfolios with alpha potential invested in equity, fixed-income and money-market instruments. The firm focuses primarily on Japanese and Asia-Pacific equity as well as European fixed-income. As part of the Nomura Group, which is the market leading asset manager in Japan, Nomura AM Deutschland combines international expertise and local presence, and relies on research provided by their parent company's analysts for investments in Asia. The firm follows a bottom-up investment approach and utilizes fundamental, technical and quantitative management processes. They perform in-house qualitative research but also use mathematical and statistical models to identify investment opportunities. Risk management is integrated to each step of the investment process and a risk management team permanently controls portfolios. The fund management team meets daily to evaluate market conditions and make investment decisions. | Finance |
London School of Economics & Political Science
London School of Economics & Political Science Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Swancap Investment Management SA
Swancap Investment Management SA Investment ManagersFinance SwanCap provides access to a range of private markets investments including Private Equity Fund Investments both primary & secondary ^ Direct investments in Equity & Debt alongside global & regional financial sponsors ^ Direct Investments in Equity & Debt directly with corporate relationships^ Geographically focus on DACH (Germany, Austria, Switzerland), Italy, Emerging Europe and North America.^ | Finance |
COMMERZBANK AG (Investment Management)
COMMERZBANK AG (Investment Management) Investment ManagersFinance Commerzbank-IM employs active asset management strategies, launched as public or special funds as well as advisory/outsourcing mandate in external funds. Depending on the product or mandate, the investment approach may use fundamental, quantitative and/or technical research. The firm’s pensions and stock selection strategies follows a benchmark universe and make selections utilizing a research overlay on the bond side and a quantitative filter for equities. For their overlay strategies, Commerzbank-IM focuses on active-quantitative asset management across all asset classes with liquid hedging instruments. Their market-neutral option strategies offer investors the opportunity to achieve positive returns regardless of the movements of the stock market. | Finance |
Luxembourg Private Equity & Venture Capital Association
Luxembourg Private Equity & Venture Capital Association Investment ManagersFinance Operates as a private equity and venture capital firm | Finance |
















