Profil
Jalila Aziki is currently a Portfolio Manager at CPR Asset Management SA since 2025.
Formerly, worked as a Portfolio Manager at BFT Investment Managers SA and as a Fund Manager at CamGestion SA.
Aktive Positionen von Jalila Aziki
| Unternehmen | Position | Beginn |
|---|---|---|
CPR Asset Management SA
CPR Asset Management SA Investment ManagersFinance CPR AM is an active, quantitative-oriented manager which follows a flexible investment approach that draws on value, growth and arbitrage investment styles. They specialize in fixed-income funds and also manage diversified and equity products. The firm invests in money-market instruments, equity, diversified products and fixed income. Asset allocation focuses on countries and sectors, focusing on the French, mid-cap European and emerging European markets. CPR AM's investment approach for diversified products relies on flexible tactical asset allocation. They invest in credit spreads and inflation-linked bonds following market-neutral strategies based on top-down fundamental analysis. Their blue-chip equity investment approach is bottom-up and opportunistic, and does not follow a particular investment style. CPR AM's Research Department performs the stock allocation, selection, risk management, and investment solutions. | Portfolio Manager-Fixed Income | 01.10.2025 |
Ehemalige bekannte Positionen von Jalila Aziki
| Unternehmen | Position | Ende |
|---|---|---|
BFT Investment Managers SA
BFT Investment Managers SA Investment ManagersFinance BFT IM follows a dynamic growth-oriented investment approach emphasizing flexibility, reactivity and innovation. The firm invests globally in fixed-income and equity, as well as in money-market instruments and alternative investments. Their investment process combines bottom-up and top-down considerations. Determinant criteria include earnings growth, quality business quality, balance sheet soundness and management's abilities. Research is conducted primarily in-house and includes company visits. | Portfolio Manager-Fixed Income | 01.10.2025 |
CamGestion SA
CamGestion SA Investment ManagersFinance CamGestion is an active, conviction-based, benchmark-insensitive manager which follows a collaborative approach based on the expertise of each manager, aiming to generate regular returns while preserving capital by optimizing risk/return tradeoffs. They manage portfolios invested across strategies in European equity and fixed-income with a focus on large-cap equity. The firm follows a structured, collaborative investment process consisting of strategic, tactical and operational phases. They utilize a bottom-up approach to select securities based on fundamental research including the assessment of investee company management. They integrate ongoing risk management in the investment process integrates through a strict risk control system. | Portfolio Manager-Aktien | - |
Erfahrungen
Besetzte Positionen
Aktive
Inaktive
Börsennotierte Unternehmen
Private Unternehmen
Beziehungen
Beziehungen ersten Grades
Unternehmen ersten Grades
Herr
Frau
Aufsichtsräte
Führungskräfte
Unternehmensverbindungen
| Private Unternehmen | 3 |
|---|---|
CPR Asset Management SA
CPR Asset Management SA Investment ManagersFinance CPR AM is an active, quantitative-oriented manager which follows a flexible investment approach that draws on value, growth and arbitrage investment styles. They specialize in fixed-income funds and also manage diversified and equity products. The firm invests in money-market instruments, equity, diversified products and fixed income. Asset allocation focuses on countries and sectors, focusing on the French, mid-cap European and emerging European markets. CPR AM's investment approach for diversified products relies on flexible tactical asset allocation. They invest in credit spreads and inflation-linked bonds following market-neutral strategies based on top-down fundamental analysis. Their blue-chip equity investment approach is bottom-up and opportunistic, and does not follow a particular investment style. CPR AM's Research Department performs the stock allocation, selection, risk management, and investment solutions. | Finance |
BFT Investment Managers SA
BFT Investment Managers SA Investment ManagersFinance BFT IM follows a dynamic growth-oriented investment approach emphasizing flexibility, reactivity and innovation. The firm invests globally in fixed-income and equity, as well as in money-market instruments and alternative investments. Their investment process combines bottom-up and top-down considerations. Determinant criteria include earnings growth, quality business quality, balance sheet soundness and management's abilities. Research is conducted primarily in-house and includes company visits. | Finance |
CamGestion SA
CamGestion SA Investment ManagersFinance CamGestion is an active, conviction-based, benchmark-insensitive manager which follows a collaborative approach based on the expertise of each manager, aiming to generate regular returns while preserving capital by optimizing risk/return tradeoffs. They manage portfolios invested across strategies in European equity and fixed-income with a focus on large-cap equity. The firm follows a structured, collaborative investment process consisting of strategic, tactical and operational phases. They utilize a bottom-up approach to select securities based on fundamental research including the assessment of investee company management. They integrate ongoing risk management in the investment process integrates through a strict risk control system. | Finance |
















