Profil
Michel Jabre worked at Jabre Capital Partners SA from 2014 to 2021.
He held the positions of Analyst in 2014 and Investor from 2019 to 2021.
Ehemalige bekannte Positionen von Michel Jabre
| Unternehmen | Position | Ende |
|---|---|---|
Jabre Capital Partners SA
Jabre Capital Partners SA Investment ManagersFinance JABCAP is an active manager which manages private mandates across asset classes with a focus on three strategies: Convertible Bonds & Fixed Income, Innovation & Sustainability Equity, and Global Opportunities. The Convertible Bonds & Fixed Income strategy seeks to achieve long-term capital appreciation through exposure to global fixed income and equity markets. It aims to combine bottom-up security selection with a macro asset allocation and focuses on active and discretionary portfolio management techniques. The Innovation & Sustainability strategy leverages the firm’s deep knowledge of the global technology sector, to provide investors with exposure to this rapidly growing and evolving landscape. The strategy invests globally, with a focus on mid-cap equity in Europe and America. It is an equity long-bias strategy which uses market hedges to limit volatility while taking advantage of large long-term secular trends in the global economy. Lastly, the Global Opportunities strategy is opened to multiples asset classes and is focused on global developed market equities with a long bias. It combines a top-down approach to portfolio construction, with fundamental analysis and a rigorous investment & risk management process aimed at identifying best-in-class investment ideas across multiple sectors. | Portfolio Manager-Aktien | 01.04.2019 |
Jabre Capital Partners SA
Jabre Capital Partners SA Investment ManagersFinance JABCAP is an active manager which manages private mandates across asset classes with a focus on three strategies: Convertible Bonds & Fixed Income, Innovation & Sustainability Equity, and Global Opportunities. The Convertible Bonds & Fixed Income strategy seeks to achieve long-term capital appreciation through exposure to global fixed income and equity markets. It aims to combine bottom-up security selection with a macro asset allocation and focuses on active and discretionary portfolio management techniques. The Innovation & Sustainability strategy leverages the firm’s deep knowledge of the global technology sector, to provide investors with exposure to this rapidly growing and evolving landscape. The strategy invests globally, with a focus on mid-cap equity in Europe and America. It is an equity long-bias strategy which uses market hedges to limit volatility while taking advantage of large long-term secular trends in the global economy. Lastly, the Global Opportunities strategy is opened to multiples asset classes and is focused on global developed market equities with a long bias. It combines a top-down approach to portfolio construction, with fundamental analysis and a rigorous investment & risk management process aimed at identifying best-in-class investment ideas across multiple sectors. | Analyst-Equity | 01.08.2014 |
Erfahrungen
Besetzte Positionen
Aktive
Inaktive
Börsennotierte Unternehmen
Private Unternehmen
Beziehungen
Beziehungen ersten Grades
Unternehmen ersten Grades
Herr
Frau
Aufsichtsräte
Führungskräfte
Unternehmensverbindungen
| Private Unternehmen | 1 |
|---|---|
Jabre Capital Partners SA
Jabre Capital Partners SA Investment ManagersFinance JABCAP is an active manager which manages private mandates across asset classes with a focus on three strategies: Convertible Bonds & Fixed Income, Innovation & Sustainability Equity, and Global Opportunities. The Convertible Bonds & Fixed Income strategy seeks to achieve long-term capital appreciation through exposure to global fixed income and equity markets. It aims to combine bottom-up security selection with a macro asset allocation and focuses on active and discretionary portfolio management techniques. The Innovation & Sustainability strategy leverages the firm’s deep knowledge of the global technology sector, to provide investors with exposure to this rapidly growing and evolving landscape. The strategy invests globally, with a focus on mid-cap equity in Europe and America. It is an equity long-bias strategy which uses market hedges to limit volatility while taking advantage of large long-term secular trends in the global economy. Lastly, the Global Opportunities strategy is opened to multiples asset classes and is focused on global developed market equities with a long bias. It combines a top-down approach to portfolio construction, with fundamental analysis and a rigorous investment & risk management process aimed at identifying best-in-class investment ideas across multiple sectors. | Finance |
















