Profil
Mr. Daniel Fighiera, CFA, is a Fund Manager at Dôm Finance SAS.
Mr. Fighiera was previously employed as a Head of Equity Management by Auris Gestion Privée SA, a Deputy Chief Executive Officer by Tocqueville Finance SA, and a Head of Small & Mid Caps Investments by Rothschild & Cie Gestion SCS.
He received his graduate degree from Université Paris Dauphine-PSL.
Postes actifs de Daniel Fighiera
| Sociétés | Poste | Début |
|---|---|---|
Dôm Finance SAS
Dôm Finance SAS Investment ManagersFinance Dôm Finance’s core mission is to grow funds with a controlled degree of risk. The firm seeks to invest when risk is paid at least at fair value and to sell when the expected gain is no longer sufficient in the face of the risk taken. Their quantitative analyses, on the same asset class or between asset classes, aim to assess the risky assets between them against the risk-free rate. | Gestionnaire de Portefeuille-Actions | 01/01/2023 |
Anciens postes connus de Daniel Fighiera
| Sociétés | Poste | Fin |
|---|---|---|
Auris Gestion SA
Auris Gestion SA Investment ManagersFinance Auris Gestion is an active, long-term, benchmark agnostic manager which emphasizes preservation of capital and aims to integrate capability of asset classes and nontraditional niche products to optimize the risk/return of each portfolio. The firm performs rigorous risk control and defines the economic objectives and expectations of each client, employing a range of strategies including mutual funds and securities selection, alternative investments, sales of structured products, derivatives for hedging risk and investment in specific securities or sectors. | Head-Equity Investments | 01/06/2021 |
Tocqueville Finance SA
Tocqueville Finance SA Investment ManagersFinance Tocqueville Finance follows a management philosophy based on opportunistic stock-picking, with the aim of generating performance whatever the period, by minimizing the risks of high volatility. The firm has a historical proximity to French and European companies, enabling it to offer equity investment strategies based on strong convictions which, for the vast majority of its funds, integrate social, societal, environmental and governance issues. They cover all management styles and themes through 4 areas of expertise: Value, Small & Mid-cap, Growth, and Themes. | Directeur en chef des Investissements | 01/10/2017 |
Rothschild & Cie Gestion SCS
Rothschild & Cie Gestion SCS Investment ManagersFinance Rothschild & Cie Gestion utilizes active, passive and multi-manager strategies to invest across geographic regions in a range of instruments including equities, fixed-income, alternatives, currency and convertibles. The firm utilizes a blended, unbiased style to manage equities. Their structured investment process combines top-down and bottom-up approaches to allocate sectors and geographies and to select stocks, respectively. They perform fundamental qualitative analysis and focus on managing European values through their mutual fund range and US large-caps. Rothschild & Cie Gestion's index (passive) management seeks to replicate the performance of a market index and is based on pure replication (buying all the securities that comprise the index and their respective weightings) and synthetic replication (constructing a portfolio of money market instruments (certificates of deposit, treasury , pensions against Treasury bills). Meanwhile, the fund buys (or sells) futures contracts on the index to replicate. Multi-management is based on a quantitative and qualitative selection of underlying funds to control risk and maximize performance through diversification. A dedicated team selects funds, manages funds of funds and monitors managers. | Head-Equity Investments | - |
Formation de Daniel Fighiera
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 |
|---|---|
Tocqueville Finance SA
Tocqueville Finance SA Investment ManagersFinance Tocqueville Finance follows a management philosophy based on opportunistic stock-picking, with the aim of generating performance whatever the period, by minimizing the risks of high volatility. The firm has a historical proximity to French and European companies, enabling it to offer equity investment strategies based on strong convictions which, for the vast majority of its funds, integrate social, societal, environmental and governance issues. They cover all management styles and themes through 4 areas of expertise: Value, Small & Mid-cap, Growth, and Themes. | Finance |
Rothschild & Cie Gestion SCS
Rothschild & Cie Gestion SCS Investment ManagersFinance Rothschild & Cie Gestion utilizes active, passive and multi-manager strategies to invest across geographic regions in a range of instruments including equities, fixed-income, alternatives, currency and convertibles. The firm utilizes a blended, unbiased style to manage equities. Their structured investment process combines top-down and bottom-up approaches to allocate sectors and geographies and to select stocks, respectively. They perform fundamental qualitative analysis and focus on managing European values through their mutual fund range and US large-caps. Rothschild & Cie Gestion's index (passive) management seeks to replicate the performance of a market index and is based on pure replication (buying all the securities that comprise the index and their respective weightings) and synthetic replication (constructing a portfolio of money market instruments (certificates of deposit, treasury , pensions against Treasury bills). Meanwhile, the fund buys (or sells) futures contracts on the index to replicate. Multi-management is based on a quantitative and qualitative selection of underlying funds to control risk and maximize performance through diversification. A dedicated team selects funds, manages funds of funds and monitors managers. | Finance |
Université Paris Dauphine-PSL
Université Paris Dauphine-PSL Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Auris Gestion SA
Auris Gestion SA Investment ManagersFinance Auris Gestion is an active, long-term, benchmark agnostic manager which emphasizes preservation of capital and aims to integrate capability of asset classes and nontraditional niche products to optimize the risk/return of each portfolio. The firm performs rigorous risk control and defines the economic objectives and expectations of each client, employing a range of strategies including mutual funds and securities selection, alternative investments, sales of structured products, derivatives for hedging risk and investment in specific securities or sectors. | Finance |
Dôm Finance SAS
Dôm Finance SAS Investment ManagersFinance Dôm Finance’s core mission is to grow funds with a controlled degree of risk. The firm seeks to invest when risk is paid at least at fair value and to sell when the expected gain is no longer sufficient in the face of the risk taken. Their quantitative analyses, on the same asset class or between asset classes, aim to assess the risky assets between them against the risk-free rate. | Finance |
















