Profil
Mr. Fabrizio de Notaris is a Deputy Fund Advisor & Research Analyst at Syz Asset Management SA.
Mr. de Notaris joined the SYZ & Co group in 2007 as Equity Analyst within the Research team in Geneva.
Prior to that, he worked for Avendis Capital as credit analyst on CDS and CDO; he was in charge of commodities, technology, transport, utilities, consumption and retailing sectors.
He is a graduate of Nottingham Trent University (UK), and holds a Bachelor's degree with Honours in International Business and Finance.
Ehemalige bekannte Positionen von Fabrizio de Notaris
| Unternehmen | Position | Ende |
|---|---|---|
SYZ Asset Management (Suisse) SA
SYZ Asset Management (Suisse) SA Investment ManagersFinance SYZ AM is an active, value and conviction-based manager which aims to generate substantial added value by reacting promptly to changes in market conditions. They are performance-oriented and non-indexed, employing a fundamental approach based on a sound macroeconomic scenario. The firm’s teams follow a disciplined and transparent investment process, which includes risk management at each stage. They select securities based on a fundamental and independent analysis. SYZ AM has experience in a variety of asset classes including liquidity (CHF liquidity management, EUR liquidity management); fixed-income (Swiss investment grade bonds, Swiss Government bonds, sovereign bonds and global bonds); equities (global equities, global high dividend equities, European equities, European small-cap equities and Japanese equities); currencies; (high yield currency fund, FX); multi-asset (diversified growth mandates, balanced mandates) and absolute return mandates (multi strategy composite funds, closed-end fund of hedge funds and tailor-made institutional mandates). | Analyst-Equity | 01.11.2011 |
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| Private Unternehmen | 1 |
|---|---|
SYZ Asset Management (Suisse) SA
SYZ Asset Management (Suisse) SA Investment ManagersFinance SYZ AM is an active, value and conviction-based manager which aims to generate substantial added value by reacting promptly to changes in market conditions. They are performance-oriented and non-indexed, employing a fundamental approach based on a sound macroeconomic scenario. The firm’s teams follow a disciplined and transparent investment process, which includes risk management at each stage. They select securities based on a fundamental and independent analysis. SYZ AM has experience in a variety of asset classes including liquidity (CHF liquidity management, EUR liquidity management); fixed-income (Swiss investment grade bonds, Swiss Government bonds, sovereign bonds and global bonds); equities (global equities, global high dividend equities, European equities, European small-cap equities and Japanese equities); currencies; (high yield currency fund, FX); multi-asset (diversified growth mandates, balanced mandates) and absolute return mandates (multi strategy composite funds, closed-end fund of hedge funds and tailor-made institutional mandates). | Finance |
















