Profil
Ms. Tihana Ibrahimpasic, CFA, is a Portfolio Manager at Janus Henderson Investors UK Ltd. Before assuming this role in 2021, she was a Research Analyst with the team from 2018.
She has over 15 years of financial industry experience.
Prior to joining the firm, Ms. Ibrahimpasic was an investment manager at Astra Financial Services, Czech Republic, where she led and produced fundamental research for portfolio asset allocation and construction, managed client relationships, and oversaw trade execution and performance analysis.
Before this, she was an investment analyst at Star Capital Finance, Czech Republic from 2011.
She received a bachelor’s degree in analysis and business planning from the University of Zagreb and a master’s in economics and finance from Charles University, Prague.
She holds the Chartered Financial Analyst designation.
Aktive Positionen von Tihana Ibrahimpasic
| Unternehmen | Position | Beginn |
|---|---|---|
Janus Henderson Investors UK Ltd.
Janus Henderson Investors UK Ltd. Investment ManagersFinance JHI UK is an active, value-oriented manager which has core capabilities in global equities, European equities, global fixed-income, multi-asset and alternative investments. They focus on absolute returns, investing globally based on rigorous fundamental research and risk management. The firm believes that top-down economic factors are key drivers of markets and the performance of sectors within markets. Economic expectations are a key input to all equity, bond and currency return forecasts which determine their asset allocation policy. | Portfolio Manager-Aktien | 01.01.2021 |
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| Private Unternehmen | 1 |
|---|---|
Janus Henderson Investors UK Ltd.
Janus Henderson Investors UK Ltd. Investment ManagersFinance JHI UK is an active, value-oriented manager which has core capabilities in global equities, European equities, global fixed-income, multi-asset and alternative investments. They focus on absolute returns, investing globally based on rigorous fundamental research and risk management. The firm believes that top-down economic factors are key drivers of markets and the performance of sectors within markets. Economic expectations are a key input to all equity, bond and currency return forecasts which determine their asset allocation policy. | Finance |
















