Profil
Mr. Julien Daire is a Deputy Chief Investment Officer at CPR Asset Management SA. He joined CPR AM in 1998 as a Risk Manager then he was promoted to the Head of Risk Management in 2000.
He was appointed as a Money Market Portfolio Manager in 2002, then Credit Portfolio Manager in 2005.
Julien Daire was promoted as Head of Credit Division in 2009.
He is the Head of Fixed Income Department of CPR AM since 2016.
He began his career as a Consultant at Atechsys in 1997.
He holds a DESS degree in Finance from Rennes University and a Master in Computer Science Applied to Management.
Aktive Positionen von Julien Daire
| 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. | Head-Fixed Income Invts | 01.01.2009 |
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| Private Unternehmen | 1 |
|---|---|
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 |
















