Profiel
Dr. Ivan Petzev is a Portfolio Manager Equities & Head of Research at Swiss Rock Asset Management AG.
He joined Swiss Rock Asset Management AG in early 2018 after completing his PhD studies in Banking & Finance at the University of Zurich.
Prior to joining Swiss Rock, he gained practical experience in the financial industry, particularly in the areas of alternative investments and lending.
He has also worked with leading researchers from the University of Zurich, Harvard University and the Bank for International Settlements.
During his PhD, he conducted empirical financial market research at the University of Zurich and the University of California San Diego.
Among other things, he researched which factors influence stock returns and how efficiently information is processed in the market.
Actieve functies van Ivan Petzev
| Bedrijven | Functie | Begin |
|---|---|---|
Swiss Rock Asset Management AG
Swiss Rock Asset Management AG Investment ManagersFinance Swiss Rock is an active manager which aims to design consistently successful investment strategies that comply with strict rules on risk exposure. They believe that higher returns can be achieved by consciously investing in the right value drivers and seek to draw on the principles of sound investment to identify the best long-term opportunities and value drivers. The firm constructs portfolios based on clients’ specific investment aims and risk tolerance, and include fixed-income securities, a mixture of fixed-income securities, equities and other investment classes or only equities. The list of asset classes includes domestic and international equities in small, medium and large-cap companies; value and growth equities; equities in emerging economies; Swiss and non-Swiss debt instruments and real estate. | Directeur van Onderzoek - Eigen Vermogen | 01-03-2018 |
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| Bedrijven in privébezit | 1 |
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Swiss Rock Asset Management AG
Swiss Rock Asset Management AG Investment ManagersFinance Swiss Rock is an active manager which aims to design consistently successful investment strategies that comply with strict rules on risk exposure. They believe that higher returns can be achieved by consciously investing in the right value drivers and seek to draw on the principles of sound investment to identify the best long-term opportunities and value drivers. The firm constructs portfolios based on clients’ specific investment aims and risk tolerance, and include fixed-income securities, a mixture of fixed-income securities, equities and other investment classes or only equities. The list of asset classes includes domestic and international equities in small, medium and large-cap companies; value and growth equities; equities in emerging economies; Swiss and non-Swiss debt instruments and real estate. | Finance |
















