Profil
Mr. Gerald Siegmund is a Chief Executive Officer at FAME Investments AG.
He is an expert in capital markets, structured products, and derivatives.
He has held executive positions at several major commercial banks in Austria.
Besides his extensive work experience, he also teaches and gives seminars at several universities in Austria.
Ehemalige bekannte Positionen von Gerald Siegmund
| Unternehmen | Position | Ende |
|---|---|---|
FAME Investments AG
FAME Investments AG Investment ManagersFinance FAME Investments’ main philosophy is based on four core values: client orientation, professionalism, transparency and independence. After detailed historical analysis, the firm carefully selects the most suitable funds for each asset class from a universe of thousands of investment funds. Each portfolio usually contains 10 to 15 of these funds and no more than three funds from any particular fund company, providing clients with an even broader diversification. Their detailed quantitative analysis of historical performance is based on various risk and return measures including performance, volatility, analysis of ratings, peer group comparisons, fund base-currency and due diligence of the investment philosophy of the fund companies. | Vorstandsvorsitzender | 18.05.2021 |
Erfahrungen
Besetzte Positionen
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Inaktive
Börsennotierte Unternehmen
Private Unternehmen
Beziehungen
Beziehungen ersten Grades
Unternehmen ersten Grades
Herr
Frau
Aufsichtsräte
Führungskräfte
Unternehmensverbindungen
| Private Unternehmen | 1 |
|---|---|
FAME Investments AG
FAME Investments AG Investment ManagersFinance FAME Investments’ main philosophy is based on four core values: client orientation, professionalism, transparency and independence. After detailed historical analysis, the firm carefully selects the most suitable funds for each asset class from a universe of thousands of investment funds. Each portfolio usually contains 10 to 15 of these funds and no more than three funds from any particular fund company, providing clients with an even broader diversification. Their detailed quantitative analysis of historical performance is based on various risk and return measures including performance, volatility, analysis of ratings, peer group comparisons, fund base-currency and due diligence of the investment philosophy of the fund companies. | Finance |
















