Profil
Guillaume Truttmann currently works at Eiffel Investment Group SAS, as Director from 2023.
Mr. Truttmann also formerly worked at Covéa Finance SAS, as Portfolio Manager & Analyst, Meeschaert Asset Management SA, as Bond Manager from 2018 to 2023, and Quilvest Asset Management SA (France), as Fund Manager & Analyst from 2014 to 2017.
Mr. Truttmann received his graduate degree in 2008 from SKEMA Business School.
Postes actifs de Guillaume Truttmann
| Sociétés | Poste | Début |
|---|---|---|
Eiffel Investment Group SAS
Eiffel Investment Group SAS Investment ManagersFinance Eiffel IG invests in corporates and in infrastructures, with debt and equity strategies. The firm focuses on sustainable investments and energy transition. Their investment strategies aim to generate not only strong financial performance but also positive social and environmental impacts. | Gestionnaire de Portefeuille-Actions | 01/06/2023 |
Anciens postes connus de Guillaume Truttmann
| Sociétés | Poste | Fin |
|---|---|---|
Meeschaert Asset Management SA
Meeschaert Asset Management SA Investment ManagersFinance MAM is an active, long-term, risk-aware manager that constructs portfolios invested in global equity, money-market instruments, and European fixed-income across strategies, market caps, and sectors. As an equity investor, the firm generally follows a conviction-based, bottom-up approach that aims to identify undervalued stocks with good growth prospects as well as special situations such as takeovers, M&As, or MBOs. For fixed-income, MAM follows a combined top-down and bottom-up approach based on fundamental and technical research to invest in money markets, high-quality credits, high-yield bonds, and government bonds. | Portfolio Manager-Fixed Income | 01/06/2023 |
Quilvest Asset Management SA (France)
Quilvest Asset Management SA (France) Investment ManagersFinance Quilvest AM France is an active manager which specializes in European equities and equity funds of funds. For European equities, the firm selects stock based on a top-down approach, analyzing macroeconomic fundamentals such as growth, leading indicators, employment, interest rates and inflation, aiming to identify the most promising sectors. For equity fund of funds, they select funds globally across asset classes, integrating them in their funds of retail funds and mandates. | Analyst-Fixed Income | 01/12/2017 |
Covéa Finance SAS
Covéa Finance SAS Investment ManagersFinance Covéa Finance strives for sustainable, long-term performance for the risk taken. The firm combines top-down macroeconomic considerations and bottom-up security selection. They implement asset allocation through an Economic and Financial Outlooks approach. | Analyst-Fixed Income | - |
Formation de Guillaume Truttmann
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Sociétés liées
| Entreprise privées | 5 |
|---|---|
Covéa Finance SAS
Covéa Finance SAS Investment ManagersFinance Covéa Finance strives for sustainable, long-term performance for the risk taken. The firm combines top-down macroeconomic considerations and bottom-up security selection. They implement asset allocation through an Economic and Financial Outlooks approach. | Finance |
Meeschaert Asset Management SA
Meeschaert Asset Management SA Investment ManagersFinance MAM is an active, long-term, risk-aware manager that constructs portfolios invested in global equity, money-market instruments, and European fixed-income across strategies, market caps, and sectors. As an equity investor, the firm generally follows a conviction-based, bottom-up approach that aims to identify undervalued stocks with good growth prospects as well as special situations such as takeovers, M&As, or MBOs. For fixed-income, MAM follows a combined top-down and bottom-up approach based on fundamental and technical research to invest in money markets, high-quality credits, high-yield bonds, and government bonds. | Finance |
Quilvest Asset Management SA (France)
Quilvest Asset Management SA (France) Investment ManagersFinance Quilvest AM France is an active manager which specializes in European equities and equity funds of funds. For European equities, the firm selects stock based on a top-down approach, analyzing macroeconomic fundamentals such as growth, leading indicators, employment, interest rates and inflation, aiming to identify the most promising sectors. For equity fund of funds, they select funds globally across asset classes, integrating them in their funds of retail funds and mandates. | Finance |
Eiffel Investment Group SAS
Eiffel Investment Group SAS Investment ManagersFinance Eiffel IG invests in corporates and in infrastructures, with debt and equity strategies. The firm focuses on sustainable investments and energy transition. Their investment strategies aim to generate not only strong financial performance but also positive social and environmental impacts. | Finance |
SKEMA Business School
SKEMA Business School Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
















