Profiel
Mr. Aloys Goichon, CFA, is a Portfolio Manager at HSBC Global Asset Management (France) SA. Mr. Goichon was previously employed as a Portfolio Manager by Crédit Mutuel Asset Management SA.
Actieve functies van Aloys Goichon
| Bedrijven | Functie | Begin |
|---|---|---|
HSBC Global Asset Management (France) SA
HSBC Global Asset Management (France) SA Investment ManagersFinance HSBC GAM-France is an active, long-term manager which follows a growth-oriented investment approach to invest globally in equity and debt across market-caps and sectors. The firm’s approach to portfolio management is rigorous and consistent and integrates risk management principles at each stage of the process. Their philosophy emphasizes dynamic asset allocation and combines top-down and bottom-up approaches. Sector or style allocation is top-down and focused on business cycle expectations, global sector trends, regional sector fundamentals and relative valuation. Stock selection is bottom-up and based on fundamental analysis focused on earnings growth as influenced by industry trends, market leadership, management effectiveness and sensitivity to economic trends. | Portefeuillebeheerder-Aandelen | 01-09-2023 |
Eerdere bekende functies van Aloys Goichon
| Bedrijven | Functie | Einde |
|---|---|---|
Crédit Mutuel Asset Management SA
Crédit Mutuel Asset Management SA Investment ManagersFinance CM-AM manages a range of portfolios invested across asset classes, strategies, regions and sectors. They have expertise in active and passive management, quantitative investing, absolute performance strategies, capital guarantee products, SRI and ethical investments and multimanager products. The firm uses proprietary research and specializes in multi-dimensional asset allocation which they implement with large-, mid-, small- and micro-cap strategies. Their investment process follows a top-down approach. CM-AM’s research focuses on identifying and analyzing macro-economic themes and their potential impact on international, national and regional economies. | Portefeuillebeheerder-Aandelen | 01-09-2023 |
HSBC Global Asset Management (France) SA
HSBC Global Asset Management (France) SA Investment ManagersFinance HSBC GAM-France is an active, long-term manager which follows a growth-oriented investment approach to invest globally in equity and debt across market-caps and sectors. The firm’s approach to portfolio management is rigorous and consistent and integrates risk management principles at each stage of the process. Their philosophy emphasizes dynamic asset allocation and combines top-down and bottom-up approaches. Sector or style allocation is top-down and focused on business cycle expectations, global sector trends, regional sector fundamentals and relative valuation. Stock selection is bottom-up and based on fundamental analysis focused on earnings growth as influenced by industry trends, market leadership, management effectiveness and sensitivity to economic trends. | Analyst-Equity | 01-11-2021 |
Ervaring
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Verwante bedrijven
| Bedrijven in privébezit | 2 |
|---|---|
Crédit Mutuel Asset Management SA
Crédit Mutuel Asset Management SA Investment ManagersFinance CM-AM manages a range of portfolios invested across asset classes, strategies, regions and sectors. They have expertise in active and passive management, quantitative investing, absolute performance strategies, capital guarantee products, SRI and ethical investments and multimanager products. The firm uses proprietary research and specializes in multi-dimensional asset allocation which they implement with large-, mid-, small- and micro-cap strategies. Their investment process follows a top-down approach. CM-AM’s research focuses on identifying and analyzing macro-economic themes and their potential impact on international, national and regional economies. | Finance |
HSBC Global Asset Management (France) SA
HSBC Global Asset Management (France) SA Investment ManagersFinance HSBC GAM-France is an active, long-term manager which follows a growth-oriented investment approach to invest globally in equity and debt across market-caps and sectors. The firm’s approach to portfolio management is rigorous and consistent and integrates risk management principles at each stage of the process. Their philosophy emphasizes dynamic asset allocation and combines top-down and bottom-up approaches. Sector or style allocation is top-down and focused on business cycle expectations, global sector trends, regional sector fundamentals and relative valuation. Stock selection is bottom-up and based on fundamental analysis focused on earnings growth as influenced by industry trends, market leadership, management effectiveness and sensitivity to economic trends. | Finance |
















