Profil
Mr. Martin B. Brinkmann is a Fund Manager at Montpelier Investment Management LLP.
He joined Montpelier in April 2009 from Lehman Brothers’ Principal Finance Group, where he worked on the origination and transaction execution of more than 25 performing and non-performing loan investment opportunities and securitization transactions in Germany, Austria, and Switzerland.
Mr. Brinkmann holds a degree in Business Studies from the Universität Passau in Germany and is fluent in German.
Anciens postes connus de Martin B. Brinkmann
| Sociétés | Poste | Fin |
|---|---|---|
Montpelier Investment Management LLP
Montpelier Investment Management LLP Investment ManagersFinance MIM focuses on Emerging Markets and Distressed Asset investing and has one of the longest and best track records in the industry. The firm takes a longer-term view of the markets and the opportunities arising therein. They tend to do their own analysis, relying less on sell side research and more on the firm’s long experience and contact base with the markets that dates back to 1985. Montpelier Investment Management’s investment process blends value-driven analysis with an intuitive trading approach. They invest in a range of debt instruments, including corporate and sovereign debt, for which credit analysis is an integral part of the investment process. The firm follows a top-down approach to analyze debt instruments across different countries and industrial sectors, complemented by regular company visits. Their credit analysis and valuation process aims to identify the sustainable debt level, based on different financial assumptions of the business model including revenue growth, cost savings, capital expenditure and working capital requirements. | Gestionnaire de Portefeuille-Actions | 05/03/2010 |
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| Entreprise privées | 1 |
|---|---|
Montpelier Investment Management LLP
Montpelier Investment Management LLP Investment ManagersFinance MIM focuses on Emerging Markets and Distressed Asset investing and has one of the longest and best track records in the industry. The firm takes a longer-term view of the markets and the opportunities arising therein. They tend to do their own analysis, relying less on sell side research and more on the firm’s long experience and contact base with the markets that dates back to 1985. Montpelier Investment Management’s investment process blends value-driven analysis with an intuitive trading approach. They invest in a range of debt instruments, including corporate and sovereign debt, for which credit analysis is an integral part of the investment process. The firm follows a top-down approach to analyze debt instruments across different countries and industrial sectors, complemented by regular company visits. Their credit analysis and valuation process aims to identify the sustainable debt level, based on different financial assumptions of the business model including revenue growth, cost savings, capital expenditure and working capital requirements. | Finance |
















