Profil
Mr. Erwan Le Jollec is a Chief Equity Strategist at CBH Compagnie Bancaire Helvétique SA. He joined the firm on April 1, 2016.
Before this, he worked at BNP Paribas for four years.
He was involved in the management of the CPPI product and, as part of the derivative desk, he developed and managed the flexible range of funds.
Before, he was part of the global arbitrage team at Dexia Asset Management in Paris for 2 years.
Mr. Le Jollec holds an M.Sc.
in Economics and Finance (University of Strasbourg) and a Certificate in Quantitative Finance (CQF, London 2010).
Postes actifs de Erwan Le Jollec
| Sociétés | Poste | Début |
|---|---|---|
CBH Compagnie Bancaire Helvétique SA
CBH Compagnie Bancaire Helvétique SA Investment ManagersFinance CBH is an active, long-term manager which performs in-house and allocates assets based on a comprehensive global macro-economic outlook. The firm's investment committee reviews the macroeconomic situation, financial results and technical configurations to understand financial markets and appraise the potential of various asset classes, sectors and regions. The committee makes decisions regarding asset allocation, sectors, hedges, bond segments and maturities. CBH favors traditional investment classes over speculative asset classes, only investing in instruments for which they have a deep understanding and that they control. They believe that diversification is an essential condition, but exercise caution not to translate that into excessive dilution. They operate within an open architecture to identify the best products outside the bank and utilize technical analysis to improve timing decisions. | Membre du Comité d'Investissement | 01/04/2016 |
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| Entreprise privées | 1 |
|---|---|
CBH Compagnie Bancaire Helvétique SA
CBH Compagnie Bancaire Helvétique SA Investment ManagersFinance CBH is an active, long-term manager which performs in-house and allocates assets based on a comprehensive global macro-economic outlook. The firm's investment committee reviews the macroeconomic situation, financial results and technical configurations to understand financial markets and appraise the potential of various asset classes, sectors and regions. The committee makes decisions regarding asset allocation, sectors, hedges, bond segments and maturities. CBH favors traditional investment classes over speculative asset classes, only investing in instruments for which they have a deep understanding and that they control. They believe that diversification is an essential condition, but exercise caution not to translate that into excessive dilution. They operate within an open architecture to identify the best products outside the bank and utilize technical analysis to improve timing decisions. | Finance |
















