Profiel
Mr. Christopher Turdean is an Investment Associate at Titan Investment Solutions Ltd.
Mr. Turdean has been on the investment team for the Fund since the start of his career.
This began at Tideway Investment Partners, acting as a Portfolio Manager’s Assistant, before joining Sanlam Investments UK in 2020 as an Investment Analyst.
He graduated from New York University with a major in Economics in 2018.
Actieve functies van Chris Turdean
| Bedrijven | Functie | Begin |
|---|---|---|
Titan Investment Solutions Ltd.
Titan Investment Solutions Ltd. Investment ManagersFinance Titan seeks to generate long-term capital growth and superior risk-adjusted returns for their investors. The firm adopts a top-down global macro view of the world then allocates risk as appropriate around the globe and across asset classes including equities, bonds, commodities, alternatives, and currencies. Their investment process is grounded in fundamental economic research and the application of qualitative and quantitative analysis. | Portfolio Manager-Fixed Income | 01-10-2023 |
Eerdere bekende functies van Chris Turdean
| Bedrijven | Functie | Einde |
|---|---|---|
Tideway Investment Partners LLP
Tideway Investment Partners LLP Investment ManagersFinance Tideway aims to beat inflation, generate real investment returns after the impact of fees and inflation over the long term, generate returns at minimum risk, invest globally and responsibly, and avoid permanent capital losses. | Analyst-Equity | 01-04-2020 |
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| Bedrijven in privébezit | 2 |
|---|---|
Tideway Investment Partners LLP
Tideway Investment Partners LLP Investment ManagersFinance Tideway aims to beat inflation, generate real investment returns after the impact of fees and inflation over the long term, generate returns at minimum risk, invest globally and responsibly, and avoid permanent capital losses. | Finance |
Titan Investment Solutions Ltd.
Titan Investment Solutions Ltd. Investment ManagersFinance Titan seeks to generate long-term capital growth and superior risk-adjusted returns for their investors. The firm adopts a top-down global macro view of the world then allocates risk as appropriate around the globe and across asset classes including equities, bonds, commodities, alternatives, and currencies. Their investment process is grounded in fundamental economic research and the application of qualitative and quantitative analysis. | Finance |
















