Profil
Dr. Sascha Mergner is an Executive Director at ansa capital management GmbH.
Before joining ansa, he spent nearly 15 years at Quoniam where he managed the Portfolio Management department with ultimate responsibility for the equities, fixed income and multi asset strategies, managed across over 120 institutional mandates with over EUR 25bn in assets.
Dr. Mergner completed his Doctoral Studies in Applied Econometrics dealing with the econometric modelling of regime changes in financial markets, while working as a quantitative equity strategist at Generali Investments.
He holds a Diploma in Economics after studying at the University of Göttingen and UCLA, Los Angeles.
Postes actifs de Sascha Mergner
| Sociétés | Poste | Début |
|---|---|---|
ansa capital management GmbH
ansa capital management GmbH Investment ManagersFinance ansa capital management manages the ansa ? global Q opportunities fund which employs a total return strategy with the objective to generate a long-term high appreciation in Euro taking into account the investment risk. Its global macro strategy uses quantitative methods to diversify across all key global equities, bond and commodities markets, while taking their individual risk contributions into account. The active management of the strategy is based only on the investment objectives and is not constrained by a benchmark. | Head-Equity Investments | 01/01/2023 |
Anciens postes connus de Sascha Mergner
| Sociétés | Poste | Fin |
|---|---|---|
Quoniam Asset Management GmbH
Quoniam Asset Management GmbH Investment ManagersFinance Quoniam is an active, quantitative manager which believes that a structured investment process can generate sustainable returns compared to a passive investment and that the manner in which information is processed is a crucial success factor. For this reason, they develop quantitative investment strategies that process fundamental information on companies and markets. The firm follows a bottom-up approach, to produce performance forecasts on significant indivdual equities which are based on financial statements, equity valuations, investor sentiment, and macroeconomic factors. The factor weightings are regularly re-calibrated, ensuring dynamic adjustment in response to new market developments. They then implement performance forecasts in a risk-controlled manner. Quoniam makes investment decisions based on fundamental know-how. They also use models and methodology to analyze information in an objective, controlled, and historical manner. As a result, they are able to construct broadly diversified portfolios comprising numerous small, actively-managed positions. | Head-Equity Investments | 01/01/2020 |
Expériences
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Sociétés liées
| Entreprise privées | 2 |
|---|---|
Quoniam Asset Management GmbH
Quoniam Asset Management GmbH Investment ManagersFinance Quoniam is an active, quantitative manager which believes that a structured investment process can generate sustainable returns compared to a passive investment and that the manner in which information is processed is a crucial success factor. For this reason, they develop quantitative investment strategies that process fundamental information on companies and markets. The firm follows a bottom-up approach, to produce performance forecasts on significant indivdual equities which are based on financial statements, equity valuations, investor sentiment, and macroeconomic factors. The factor weightings are regularly re-calibrated, ensuring dynamic adjustment in response to new market developments. They then implement performance forecasts in a risk-controlled manner. Quoniam makes investment decisions based on fundamental know-how. They also use models and methodology to analyze information in an objective, controlled, and historical manner. As a result, they are able to construct broadly diversified portfolios comprising numerous small, actively-managed positions. | Finance |
ansa capital management GmbH
ansa capital management GmbH Investment ManagersFinance ansa capital management manages the ansa ? global Q opportunities fund which employs a total return strategy with the objective to generate a long-term high appreciation in Euro taking into account the investment risk. Its global macro strategy uses quantitative methods to diversify across all key global equities, bond and commodities markets, while taking their individual risk contributions into account. The active management of the strategy is based only on the investment objectives and is not constrained by a benchmark. | Finance |
















