Profil
Ms. Dorthe Fredsgaard Nielsen is an Investment Manager at GAM Investment Management (Switzerland) AG.
She joined in April 2012 and is a Fixed Income Emerging Markets Portfolio Manager.
Prior to joining GAM Group, she co-managed retail and institutional emerging markets bond funds at BankInvest in Copenhagen, focusing on emerging markets corporate bonds and, most recently, on Latin American corporate.
She started her career in the area of emerging markets on the equity side as an Analyst.
She holds an M.Sc.
in Applied Economics and Finance from the Copenhagen Business School in Denmark, a Masters and Bachelor course from the University of Queensland, Australia, and a B.Sc.
in Economics and Business Administration from Aarhus School of Business, Denmark.
Anciens postes connus de Dorthe Fredsgaard Nielsen
| Sociétés | Poste | Fin |
|---|---|---|
GAM Investment Management (Switzerland) AG
GAM Investment Management (Switzerland) AG Investment ManagersFinance GAM Switzerland is an active, conviction-based manager which developed a comprehensive range of investment strategies asset classes and styles, with core capabilities in fixed income, equity, multi asset & solutions and systematic. All the strategies share one common aim: to deliver positive, long-term absolute returns with controlled volatility and low correlation to traditional asset classes. The firm’s investment philosophy and approach add value through active decision-making at three levels: long-term strategic asset allocation, short-term tactical asset allocation and underlying investments. GAM uses in-house and external managers to manage their funds. | Portfolio Manager-Fixed Income | 21/04/2021 |
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| Entreprise privées | 1 |
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GAM Investment Management (Switzerland) AG
GAM Investment Management (Switzerland) AG Investment ManagersFinance GAM Switzerland is an active, conviction-based manager which developed a comprehensive range of investment strategies asset classes and styles, with core capabilities in fixed income, equity, multi asset & solutions and systematic. All the strategies share one common aim: to deliver positive, long-term absolute returns with controlled volatility and low correlation to traditional asset classes. The firm’s investment philosophy and approach add value through active decision-making at three levels: long-term strategic asset allocation, short-term tactical asset allocation and underlying investments. GAM uses in-house and external managers to manage their funds. | Finance |
















