Profil
Ms. Fabienne Cretin-Fumeron is a Fund Manager at Carmignac Gestion SA. She has over 28 years of experience.
Previously, Ms. Cretin-Fumeron worked as Head of Risk Arbitrage at Candriam, since 2018.
In 1997, she joined Deloitte & Touche as an auditor.
In 2001, she joined ADI as a Risk Arbitrage Fund Manager.
She was appointed Co-Head of the Risk Arbitrage Team in 2003 and became Head of the team in 2008.
ADI merged with OFI in 2009, where she continued managing a risk arbitrage strategy and became Head of Absolute Return Management.
She holds a master’s degree in strategy and engineering in international affairs from ESSEC.
Postes actifs de Fabienne Cretin-Fumeron
| Sociétés | Poste | Début |
|---|---|---|
Carmignac Gestion SA
Carmignac Gestion SA Investment ManagersFinance Carmignac is an active manager which employs a long-term investment strategy. The firm invests predominantly in equity with no market-cap restrictions and favors sectors such as raw materials, energy and precious and non-precious metals. Investment themes include consumption in emerging regions, China, Brazil and South Korea. They also invest in US large-cap companies. Carmignac employs a flexible, top-down sector allocation process and emphasizes liquidity. Emerging markets account for a sizeable proportion of their portfolios. | Gestionnaire de Portefeuille-Actions | 01/02/2023 |
Anciens postes connus de Fabienne Cretin-Fumeron
| Sociétés | Poste | Fin |
|---|---|---|
Candriam France SAS
Candriam France SAS Investment ManagersFinance Candriam France is an active, risk-aware manager which utilizes structured directional processes based on in-house fundamental research, proprietary models and their capacity to innovate, aiming to add value at each step of the investment process. The firm monitors, analyses and evaluates risk at each step of the investment process. Their investment strategy is based on small teams of key decision-makers. This results-driven strategy encourages brainstorming, information pooling and cross-fertilization of ideas. | Gestionnaire de Portefeuille-Actions | 01/02/2023 |
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. | Gestionnaire de Portefeuille-Actions | 01/08/2018 |
ADI-Alternative Investments SA
ADI-Alternative Investments SA Investment ManagersFinance ADI specializes in the management of convertible bonds arbitrage, credit/volatility arbitrage, merger arbitrage as well as multistrategy and multimanager instruments through vehicles such as dynamic money-market funds, absolute performance strategies and offshore funds. The firm conducts fundamental quantitative a qualitative research and uses a range of purchased and proprietary quantitative models to support investment decisions. They also use third-party research for macroeconomic analyses. The investment management committee meets on a weekly basis. | Portfolio Manager-Fixed Income | - |
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 | 4 |
|---|---|
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 |
Candriam France SAS
Candriam France SAS Investment ManagersFinance Candriam France is an active, risk-aware manager which utilizes structured directional processes based on in-house fundamental research, proprietary models and their capacity to innovate, aiming to add value at each step of the investment process. The firm monitors, analyses and evaluates risk at each step of the investment process. Their investment strategy is based on small teams of key decision-makers. This results-driven strategy encourages brainstorming, information pooling and cross-fertilization of ideas. | Finance |
Carmignac Gestion SA
Carmignac Gestion SA Investment ManagersFinance Carmignac is an active manager which employs a long-term investment strategy. The firm invests predominantly in equity with no market-cap restrictions and favors sectors such as raw materials, energy and precious and non-precious metals. Investment themes include consumption in emerging regions, China, Brazil and South Korea. They also invest in US large-cap companies. Carmignac employs a flexible, top-down sector allocation process and emphasizes liquidity. Emerging markets account for a sizeable proportion of their portfolios. | Finance |
ADI-Alternative Investments SA
ADI-Alternative Investments SA Investment ManagersFinance ADI specializes in the management of convertible bonds arbitrage, credit/volatility arbitrage, merger arbitrage as well as multistrategy and multimanager instruments through vehicles such as dynamic money-market funds, absolute performance strategies and offshore funds. The firm conducts fundamental quantitative a qualitative research and uses a range of purchased and proprietary quantitative models to support investment decisions. They also use third-party research for macroeconomic analyses. The investment management committee meets on a weekly basis. | Finance |
















