Cornelius Schoonees
Keine laufenden Positionen mehr
Profil
Mr. Cornelius Schoonees, CFA, is a Portfolio Manager at Old Mutual Investment Group South Africa Pty Ltd.
Mr. Schoonees joined OMIGSA in October 2008 as a business development actuary and portfolio manager of the Multi-Strategy Hedge Fund.
He is a qualified actuary and chartered financial analyst and has more than 13 years of work experience in insurance, banking and financial services.
Prior to joining OMIGSA, he was a consultant at McKinsey & Co and an investment banker with UBS Warburg in London.
Ehemalige bekannte Positionen von Cornelius Schoonees
Unternehmen | Position | Ende |
---|---|---|
Old Mutual Investment Group (Pty) Ltd.
Old Mutual Investment Group (Pty) Ltd. Investment ManagersFinance Old Mutual Investment Group (Pty) Ltd. (OMIGSA) is an asset management firm headquartered in Cape Town, South Africa. The firm is a wholly-owned subsidiary of Old Mutual Investment Group Holdings (Pty) Ltd., ultimately held by Old Mutual Ltd. (JSE: OMU; OTCMKTS: ODMUF). Formerly known as Old Mutual Asset Managers, OMIGSA offers segregated portfolios and pooled funds across the risk/return spectrum and manage various multi-assets, equity, fixed interest and listed property strategies for individual and institutional investors. The firm is a socially responsible investor and signatory to the UN Principles for Responsible Investment (UNPRI). | Portfolio Manager-Aktien | - |
Erfahrungen
Besetzte Positionen
Aktive
Inaktive
Börsennotierte Unternehmen
Private Unternehmen
Unternehmensverbindungen
Private Unternehmen | 1 |
---|---|
Old Mutual Investment Group (Pty) Ltd.
Old Mutual Investment Group (Pty) Ltd. Investment ManagersFinance Old Mutual Investment Group (Pty) Ltd. (OMIGSA) is an asset management firm headquartered in Cape Town, South Africa. The firm is a wholly-owned subsidiary of Old Mutual Investment Group Holdings (Pty) Ltd., ultimately held by Old Mutual Ltd. (JSE: OMU; OTCMKTS: ODMUF). Formerly known as Old Mutual Asset Managers, OMIGSA offers segregated portfolios and pooled funds across the risk/return spectrum and manage various multi-assets, equity, fixed interest and listed property strategies for individual and institutional investors. The firm is a socially responsible investor and signatory to the UN Principles for Responsible Investment (UNPRI). | Finance |