Profil
Mr. Stefan J.
Hofrichter, CFA, is a Head of Global Economics & Strategy at Allianz Global Investors GmbH.
He is also the Head of Macro Research since 2011.
His research covers global economics as well as global and European asset allocation.
Mr. Hofrichter joined the firm in 1996 as an equity portfolio manager and assumed his current role as an economist and strategist in 1998.
Between 2004 and 2010, he also had responsibility for various retail and institutional mandates, including global and European traditional balanced funds, global multi-asset absolute return, and multi-manager alpha-porting funds.
He became a member of the firm’s Global Policy Council in 2004.
Mr. Stefan Hofrichter holds a degree in Economics from the University of Konstanz (1995) and Business Administration from the University of Applied Sciences of the Deutsche Bundesbank, Hachenburg (1991).
He became a CFA charter holder in 2000.
Postes actifs de Stefan J. Hofrichter
| Sociétés | Poste | Début |
|---|---|---|
Allianz Global Investors GmbH
Allianz Global Investors GmbH Investment ManagersFinance AGI is an active manager which conducts in-house proprietary research to invest in public equity and fixed-income markets globally. The firm offers a range of investment strategies and styles. They make equity investments in value and growth stocks of companies across market-caps and typically invest in US convertibles, US high yield bonds and mortgage-backed securities for fixed-income. AGI also makes alternative investments. They have a strong focus on superior alpha-creation and modern risk management techniques are a primary concern. | Economiste | 01/01/1998 |
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| Entreprise privées | 1 |
|---|---|
Allianz Global Investors GmbH
Allianz Global Investors GmbH Investment ManagersFinance AGI is an active manager which conducts in-house proprietary research to invest in public equity and fixed-income markets globally. The firm offers a range of investment strategies and styles. They make equity investments in value and growth stocks of companies across market-caps and typically invest in US convertibles, US high yield bonds and mortgage-backed securities for fixed-income. AGI also makes alternative investments. They have a strong focus on superior alpha-creation and modern risk management techniques are a primary concern. | Finance |
















