Profiel
Cyril Lesmier is currently a Listed Derivatives Trader at Amundi Asset Management SAS (Investment Management) since 2021.
Formerly, Mr. Lesmier was a Portfolio Manager at Société Générale Gestion SA.
Actieve functies van Cyril Lesmier
| Bedrijven | Functie | Begin |
|---|---|---|
Amundi Asset Management SA (Investment Management)
Amundi Asset Management SA (Investment Management) Investment ManagersFinance Amundi-IM invests through funds in all asset classes and main currencies. The firm believes that overall analysis of a company, including economic, social and environmental aspects, allows for better assessment of the risks and opportunities that may affect its long-term valuation. | Trading-Equity | 01-03-2011 |
Eerdere bekende functies van Cyril Lesmier
| Bedrijven | Functie | Einde |
|---|---|---|
Société Générale Gestion SA
Société Générale Gestion SA Investment ManagersFinance S2G combines the macro-economic (top-down) and micro-economic (bottom-up) strategies in creating portfolios to optimize the performance of their SICAV and FCP. The firm evaluates macroeconomic and alternative scenarios to adapt quickly to news and identify favorable assets, seeking to determine market trends by region, economic sector, asset class, currencies and management style. For bonds, they aim to create value by anticipating changes in bond yields, according to a defined investment process. | Portfolio Manager-Fixed Income | - |
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Verwante bedrijven
| Bedrijven in privébezit | 2 |
|---|---|
Amundi Asset Management SA (Investment Management)
Amundi Asset Management SA (Investment Management) Investment ManagersFinance Amundi-IM invests through funds in all asset classes and main currencies. The firm believes that overall analysis of a company, including economic, social and environmental aspects, allows for better assessment of the risks and opportunities that may affect its long-term valuation. | Finance |
Société Générale Gestion SA
Société Générale Gestion SA Investment ManagersFinance S2G combines the macro-economic (top-down) and micro-economic (bottom-up) strategies in creating portfolios to optimize the performance of their SICAV and FCP. The firm evaluates macroeconomic and alternative scenarios to adapt quickly to news and identify favorable assets, seeking to determine market trends by region, economic sector, asset class, currencies and management style. For bonds, they aim to create value by anticipating changes in bond yields, according to a defined investment process. | Finance |
















