Profil
Emmanuelle Serhrouchni worked as a Fund Manager at OFI Invest Asset Management SA from 2012 to 2020, at Macif Gestion SA as a Fund Manager, and at La Compagnie 1818 Gestion SA as a Fund Manager from 2006 to 2008.
Anciens postes connus de Emmanuelle Serhrouchni
| Sociétés | Poste | Fin |
|---|---|---|
OFI Invest Asset Management SA
OFI Invest Asset Management SA Investment ManagersFinance OFI AM specializes in traditional/fundamental and alternative management strategies based on single- or multi-manager structures with a view to stable and continuous alpha generation. The firm actively manages benchmark-insensitive portfolios that invest in equity, fixed-income, real estate, private equity and alternative instruments across strategies, regions, sectors and market caps with the bulk of their investments in French and European securities. They rely on external partners for equity investments in the US, Japan, international and emerging markets as well as for Japanese convertible bonds and East European rates. | Portfolio Manager-Fixed Income | 01/10/2020 |
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 | Gestionnaire de Portefeuille-Actions | 01/01/2008 |
Macif Gestion SA
Macif Gestion SA Specialty InsuranceFinance MG is an active, risk-averse investor and manages portfolios invested primarily in Euro-zone fixed-income, but also in Euro-zone equity, money-market instruments and real estate with the bulk of investments in French securities and a bias towards large-cap companies. The firm may use alternative instruments for hedging purposes. MG is a socially responsible investor and benchmarks portfolios against the main European indexes from which they aim to select companies according to social, ethic and ecologic criteria. These criteria are fundamental in the decision making process. The firm also manages fund of funds, which are invested in mutual funds selected for their performance and management style | Gestionnaire de Portefeuille-Actions | 20/07/2009 |
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 | 3 |
|---|---|
OFI Invest Asset Management SA
OFI Invest Asset Management SA Investment ManagersFinance OFI AM specializes in traditional/fundamental and alternative management strategies based on single- or multi-manager structures with a view to stable and continuous alpha generation. The firm actively manages benchmark-insensitive portfolios that invest in equity, fixed-income, real estate, private equity and alternative instruments across strategies, regions, sectors and market caps with the bulk of their investments in French and European securities. They rely on external partners for equity investments in the US, Japan, international and emerging markets as well as for Japanese convertible bonds and East European rates. | Finance |
Macif Gestion SA
Macif Gestion SA Specialty InsuranceFinance MG is an active, risk-averse investor and manages portfolios invested primarily in Euro-zone fixed-income, but also in Euro-zone equity, money-market instruments and real estate with the bulk of investments in French securities and a bias towards large-cap companies. The firm may use alternative instruments for hedging purposes. MG is a socially responsible investor and benchmarks portfolios against the main European indexes from which they aim to select companies according to social, ethic and ecologic criteria. These criteria are fundamental in the decision making process. The firm also manages fund of funds, which are invested in mutual funds selected for their performance and management style | Finance |
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 |
















