Profiel
Mr. Emil Imboden, CFA, is a Managing Director, Portfolio Manager & Founding Partner at Helvetica Wealth Management Partners AG.
He has 19 years of investment experience.
He is the Portfolio Manager of the long-only and cross-asset absolute return funds.
From 1997 to 2004, he worked at Morgan Stanley AG in Zurich where he was head of the Private Wealth Management Division's Investment Group and a member of the European Asset Allocation Committee.
As a member of the Swiss Investment Committee, he was responsible for the asset allocation of fixed income and derivative products.
Prior to working at Morgan Stanley, he worked at both Bank Vontobel and UBS in Zurich and New York.
Eerdere bekende functies van Emil Imboden
| Bedrijven | Functie | Einde |
|---|---|---|
Helvetica Wealth Management Partners AG
Helvetica Wealth Management Partners AG Investment ManagersFinance Helvetica is a multi-strategy investment manager focused on risk analysis. The firm manages long-only and alternative strategies, both as directly invested portfolios and thru the selection of third-party managers. They invest across asset classes in equity, bonds, derivatives, alternative investments and private equity. They operate a proprietary risk management system and combine in-house asset allocation with outsourced service providers. Their investment approach is based on fundamental research with quantitative overlays. In particular, they have developed a proprietary fund manager selection process for their multi-manager products. Helvetica's products include long-only and cross-asset absolute return funds, multi-manager alternative investment funds, thematic and real estate funds. They also provide customized portfolio management services and corporate advisory services. | Oprichter | 01-09-2011 |
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| Bedrijven in privébezit | 1 |
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Helvetica Wealth Management Partners AG
Helvetica Wealth Management Partners AG Investment ManagersFinance Helvetica is a multi-strategy investment manager focused on risk analysis. The firm manages long-only and alternative strategies, both as directly invested portfolios and thru the selection of third-party managers. They invest across asset classes in equity, bonds, derivatives, alternative investments and private equity. They operate a proprietary risk management system and combine in-house asset allocation with outsourced service providers. Their investment approach is based on fundamental research with quantitative overlays. In particular, they have developed a proprietary fund manager selection process for their multi-manager products. Helvetica's products include long-only and cross-asset absolute return funds, multi-manager alternative investment funds, thematic and real estate funds. They also provide customized portfolio management services and corporate advisory services. | Finance |
















