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Ram (lux) Systematic Funds - Global Equity Income Np Chf (0P00013606)

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178.100 +1.660    +0.94%
21/11 - Closed. Currency in CHF
Type:  Fund
Market:  Luxembourg
Issuer:  Ram Active Investments (Luxembourg) S.A.
ISIN:  LU1048877085 
Asset Class:  Equity
  • Morningstar Rating:
  • Total Assets: 55.74M
RAM (Lux) Systematic Funds Global Shareholder Yi 178.100 +1.660 +0.94%

Ram (lux) Systematic Funds - Global Equity Income Np Chf Overview

 
On this page you'll find an in-depth profile of Ram (lux) Systematic Funds - Global Equity Income Np Chf. Learn about the key management, total assets, investment strategy and contact information of 0P00013606 among other information.
Category

Global Equity Income

Total Assets

55.74M

Expenses

2.31%

Inception Date

May 02, 2014

Investment Strategy

The objective of the sub-fund is to select stocks with attractive performance prospects, allowing the sub-fund to offer high returns over the long term while also incorporating environmental, social and governance (ESG) criteria. Investors’ attention is drawn to the fact that the management style follows a systematic and disciplined selection and investment process.

Contact Information

Address Rue du Rhône, 62
Genève,Geneva CH-1204
Switzerland
Phone +41 22 8168730
Fax 0041 22 816 87 30

Top Executives

Name Title Since Until
Nicolas Jamet - 2020 Now
Biography Nicolas Jamet is a Fund Manager and Lead of ESG Integration at RAM AI’s Systematic Equity team since 2016. He started his career as a Portfolio Manager at Société Générale Hong Kong in 2006 and joined Macquarie Group to run a global fundamental quantitative book in 2011. In 2012, Nicolas co-founded Fundamental Dynamics, a hedge fund managing long/short global equity strategies for an institutional mandate. He graduated in 2005 as a Business Engineer from the ICHEC Brussels Management School and, in 2015, he became a CFA Charterholder.
Valentin Betrix - 2020 Now
Biography Valentin Betrix is a Senior Fund Manager at RAM AI’s Systematic Equities team since 2013. Valentin started his career at BNP Paribas as a Corporate Finance Analyst and joined Alpstar Capital as a Quantitative Analyst/Trader in 2007. He graduated as an Engineer from École des Mines and as an Actuary from Institut de Science Financière et d'Assurances in 2006.
Emmanuel Hauptmann fund co-manager 2014 Now
Biography EMMANUEL HAUPTMANN - Senior Fund Manager, Equities - Emmanuel Hauptmann brings to Reyl Asset Management his high knowledge of risk management and execution of Reyl Funds’ applied equity strategies.He was a European equity derivatives strategist at Morgan Stanley Quantitative and Derivative Strategies, then Head of Alternative Execution at Citigroup in London. He joined Reyl Asset Management in September 2007. Emmanuel Hauptmann is a graduate of the Ecole Centrale Paris (2002), the London School of Economics (MSc, Finance and Economics, 2002) and the University of Paris I (Lic. Economics, 2001).
Thomas de Saint-Seine Head 2014 2021
Biography THOMAS DE SAINT-SEINE - Co head of the Executive Board - Thomas de Saint-Seine was behind the setting up of Reyl Asset Management, a subsidiary of Reyl Group specialising in managing the investment funds grouped under the Reyl Funds brand. From 1996 to 2001, Thomas de Saint-Seine worked as a portfolio manager and equity and bond fund manager at Crédit Agricole Indosuez (Luxembourg, Paris and Geneva). He joined REYL & CIE in 2001.Thomas de Saint-Seine is a graduate of the Université of Paris X (Econometrics, 1994) and the Rouen Business School (Finance, 1996)
Maxime Botti co-Founder 2014 2021
Biography MAXIME BOTTI - Senior Fund Manager, Equities - Maxime Botti was involved in the setting up of Reyl Asset Management with Thomas de Saint-Seine. He played a determining role in the research that underpins Reyl Funds equity management. Before joining REYL & CIE, Maxime Botti worked as a fund manager at Equinoxe Partners and an arbitrage risk analyst at Barep Asset Management, a subsidiary of Société Générale. He has been with REYL & CIE since 2004. He is a graduate of the Rouen Business School (Finance, 2002).
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