Profiel
Dr. Christian Ferry is Chief Investment Officer at BSI Laran SA and Chairman at Thalìa SA.
He joined the Generali Group in 1994 as General Manager of Generali Finances and later became Head of Generali Asset Management Coordination of Assicurazioni Generali SpA (Trieste).He then moved to BMI (UAP's Private Bank) as Deputy General Manager.
Thereafter, he became Chairman and CEO of Eagle Star France, and CFO of the Cardif Insurance Group.
From 1991 to 2001, he was an associate professor in Finance at the "Institut d'Etudes Politiques" in Paris.
After obtaining his doctorate degree, he joined La Protectrice Insurance Group, where his last position was that of CFO.
Dr. Ferry earned his Doctorate in Economics from the University of Dijon in 1974.
Actieve functies van Christian Ferry
| Bedrijven | Functie | Begin |
|---|---|---|
Générali Investments SICAV
Générali Investments SICAV Investment Trusts/Mutual FundsMiscellaneous Acts as umbrella fund | Directeur/Bestuurslid | - |
Eerdere bekende functies van Christian Ferry
| Bedrijven | Functie | Einde |
|---|---|---|
Thalia Capital Advisors SA
Thalia Capital Advisors SA Investment ManagersFinance Thalia is an active manager which utilizes their qualitatively developed vision and methodology to identify fund managers which offer a competitive advantage.^ The firm constructs portfolios based primarily on conviction. They perform qualitative research, complemented by quantitative analysis, risk analysis and control systems to build portfolios with a three to five year view fitting with their clients' overall risk/return profile.^ Thalia follows a bottom-up approach to source and screen hedge funds. Their Portfolio Management team then analyzes the suitability of investments, supported by the Risk Management department, both on the single fund level and on an overall portfolio basis.^ Asset allocation is determined based on market and risk factor analysis. | Voorzitter | - |
EFG Laran SA
EFG Laran SA Investment ManagersFinance EFG Laran is an active, multi-strategy investor which manages portfolios across asset classes, regions and sectors through investment vehicles such as money-market funds, bond funds, equity funds, asset allocation funds, fund of funds, fund of hedge funds and institutional funds as well as discretionary accounts and structured products. They also offer discretionary mandates tailored to individual client needs. The firm's primary objective is to achieve capital growth. Their investment strategies are based on a dynamic asset allocation process, which each portfolio manager adapts to specific fund requirements. EFG Laran has specialist expertise in alternative investments, primarily investing in third-party hedge funds which they select following a multi-phase process based on qualitative and quantitative analysis. They select hedge funds across strategies including long/short equity, global macro, event-driven, convertible arbitrage, fixed-income arbitrage and multi arbitrage. | Chief Investment Officer | - |
Ervaring
Beklede functies
Actief
Inactief
Beursgenoteerde bedrijven
Bedrijven in privébezit
Connecties
Eerstegraads connecties
Bedrijven verbonden in de eerste graad
Man
Vrouw
Besturend
Uitvoerend
Verwante bedrijven
| Bedrijven in privébezit | 3 |
|---|---|
EFG Laran SA
EFG Laran SA Investment ManagersFinance EFG Laran is an active, multi-strategy investor which manages portfolios across asset classes, regions and sectors through investment vehicles such as money-market funds, bond funds, equity funds, asset allocation funds, fund of funds, fund of hedge funds and institutional funds as well as discretionary accounts and structured products. They also offer discretionary mandates tailored to individual client needs. The firm's primary objective is to achieve capital growth. Their investment strategies are based on a dynamic asset allocation process, which each portfolio manager adapts to specific fund requirements. EFG Laran has specialist expertise in alternative investments, primarily investing in third-party hedge funds which they select following a multi-phase process based on qualitative and quantitative analysis. They select hedge funds across strategies including long/short equity, global macro, event-driven, convertible arbitrage, fixed-income arbitrage and multi arbitrage. | Finance |
Générali Investments SICAV
Générali Investments SICAV Investment Trusts/Mutual FundsMiscellaneous Acts as umbrella fund | Miscellaneous |
Thalia Capital Advisors SA
Thalia Capital Advisors SA Investment ManagersFinance Thalia is an active manager which utilizes their qualitatively developed vision and methodology to identify fund managers which offer a competitive advantage.^ The firm constructs portfolios based primarily on conviction. They perform qualitative research, complemented by quantitative analysis, risk analysis and control systems to build portfolios with a three to five year view fitting with their clients' overall risk/return profile.^ Thalia follows a bottom-up approach to source and screen hedge funds. Their Portfolio Management team then analyzes the suitability of investments, supported by the Risk Management department, both on the single fund level and on an overall portfolio basis.^ Asset allocation is determined based on market and risk factor analysis. | Finance |
















