Profil
Paulo Loureiro Joaquim has worked as a Portfolio Manager at GNB Gestão de Ativos, SGOIC, SA since 1997.
The current job is Portfolio Manager at GNB Gestão de Ativos, SGOIC, SA.
Postes actifs de Paulo Loureiro Joaquim
| Sociétés | Poste | Début |
|---|---|---|
GNB Sociedade Gestora de Fundos de Investimento Mobiliário SA
GNB Sociedade Gestora de Fundos de Investimento Mobiliário SA Investment ManagersFinance GNB FIM is an active, research-oriented manager which follows a combined top-down and bottom-up investment methodology to construct geographically diversified portfolios with a focus on developed markets. The firm performs analysis of economic growth projections by region, evaluating countries' growth patterns, interest rates and currency forecasts. This analysis is used to forecast potential returns over a one-year period for different asset classes. GNB FIM makes sectoral allocation of equity and bond investments based on macro- and microeconomic conditions. The firm selects suitable companies for investment following a bottom-up approach, analyzing a company's turnover profile, forecast of operational margins and operational leverage as well as the financing structure and financial leverage. For equity investments, they also check if the current price is appropriate to the company's growth pattern and implicit risk, using in-house models to determine dividend discount and the price-to-earnings ratio. | Gestionnaire de Portefeuille-Actions | 01/01/1997 |
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Sociétés liées
| Entreprise privées | 1 |
|---|---|
GNB Sociedade Gestora de Fundos de Investimento Mobiliário SA
GNB Sociedade Gestora de Fundos de Investimento Mobiliário SA Investment ManagersFinance GNB FIM is an active, research-oriented manager which follows a combined top-down and bottom-up investment methodology to construct geographically diversified portfolios with a focus on developed markets. The firm performs analysis of economic growth projections by region, evaluating countries' growth patterns, interest rates and currency forecasts. This analysis is used to forecast potential returns over a one-year period for different asset classes. GNB FIM makes sectoral allocation of equity and bond investments based on macro- and microeconomic conditions. The firm selects suitable companies for investment following a bottom-up approach, analyzing a company's turnover profile, forecast of operational margins and operational leverage as well as the financing structure and financial leverage. For equity investments, they also check if the current price is appropriate to the company's growth pattern and implicit risk, using in-house models to determine dividend discount and the price-to-earnings ratio. | Finance |
















