Profiel
Pierre Henri Francois Beniguel worked as a Portfolio Manager at TwentyFour Asset Management (US) LP from 2014 to 2025.
Mr. Beniguel worked as a Portfolio Manager at TwentyFour Asset Management LLP from 2014 to 2025.
Mr. Beniguel completed an undergraduate degree at University College London in 2010.
Eerdere bekende functies van Pierre Beniguel
| Bedrijven | Functie | Einde |
|---|---|---|
TwentyFour Asset Management LLP
TwentyFour Asset Management LLP Investment ManagersFinance TwentyFour covers open ended funds, closed ended funds, as well as segregated mandates. The firm uses a rigorous, detail-oriented investment approach aiming to achieve superior risk-adjusted returns while preserving capital. | Portfolio Manager-Fixed Income | 18-08-2025 |
TwentyFour Asset Management (US) LP
TwentyFour Asset Management (US) LP Investment ManagersFinance TwentyFour US invests primarily in fixed-income securities and derivatives that provide exposure to fixed-income securities. The firm may invest in non-investment grade securities and in equity securities including preferred stocks of US and foreign companies of any market capitalization. They develop a top-down macroeconomic view of the global economic environment as indicated by factors such as interest rates, equity markets, corporate profitability, international capital flows, government policy and other relevant inputs. TwentyFour US then performs a bottom-up analysis of individual issuers that focuses on an issuer’s creditworthiness and considers historical trends and patterns in an instrument’s price and relative valuation. | Portfolio Manager-Fixed Income | 01-06-2025 |
Opleiding van Pierre Beniguel
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| Bedrijven in privébezit | 3 |
|---|---|
University College London
University College London Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
TwentyFour Asset Management LLP
TwentyFour Asset Management LLP Investment ManagersFinance TwentyFour covers open ended funds, closed ended funds, as well as segregated mandates. The firm uses a rigorous, detail-oriented investment approach aiming to achieve superior risk-adjusted returns while preserving capital. | Finance |
TwentyFour Asset Management (US) LP
TwentyFour Asset Management (US) LP Investment ManagersFinance TwentyFour US invests primarily in fixed-income securities and derivatives that provide exposure to fixed-income securities. The firm may invest in non-investment grade securities and in equity securities including preferred stocks of US and foreign companies of any market capitalization. They develop a top-down macroeconomic view of the global economic environment as indicated by factors such as interest rates, equity markets, corporate profitability, international capital flows, government policy and other relevant inputs. TwentyFour US then performs a bottom-up analysis of individual issuers that focuses on an issuer’s creditworthiness and considers historical trends and patterns in an instrument’s price and relative valuation. | Finance |
















