Profilo
Alan Hallez currently works at Generali Asset Management SpA SGR (France), as SRI Analyst from 2018.
Mr. Hallez also formerly worked at Générali Investments Europe SpA SGR (France), as SRI Analyst from 2011 to 2018.
Posizioni attive di Alan Hallez
| Società | Posizione | Inizio |
|---|---|---|
Générali Investments Partners SpA SGR (France)
Générali Investments Partners SpA SGR (France) Investment ManagersFinance Generali Asset Management-France leverages both internal and external expertise, the latter through boutiques that Generali Investments has acquired, invested in or created, and in which the company holds a majority share. They offer a large variety of active fixed income strategies and Eurozone equity strategies. The firm has a multi-asset team that combines quantitative and qualitative approaches to design and manage most efficient asset allocations to generate risk-adjusted returns over the mid to long-term. | Analyst-Equity | 01/10/2018 |
Precedenti posizioni note di Alan Hallez
| Società | Posizione | Fine |
|---|---|---|
Générali Investments Europe SpA SGR (France)
Générali Investments Europe SpA SGR (France) Investment ManagersFinance Generali Investments France is an active manager which follows a risk-cautious, fundamentals-based approach in order to generate consistent, low volatility returns over the long-term and protect invested capital. The firm combines top-down and bottom-up inputs provided by in-house research teams. They first analyze macro-economic indicators and the general political environment to evaluate their potential impact on the main financial markets. Dedicated committees decide on the strategic asset allocation and provide short-term forecast on equity and fixed-income markets driving tactical allocation to be implemented by the portfolio managers who select securities based on inputs from proprietary bottom-up securities analysis, ESG screening and quantitative models. Their bottom-up research team covers mainly European, US and Asian companies, providing equity recommendations and internal credit ratings to portfolio managers, who combine the positive aspects of equity analysis (expectations on revenues and profitability evolution) and credit analysis (debt distribution and cash flows) to analyze companies in an organic manner and identify the financial instrument with the most attractive risk/return profile (equities, convertible bonds, corporate bonds). Risk management is fully integrated in the firm's investment process and provides daily inputs to portfolio managers along with ex-ante analysis (VaR, simulations, expected yield) and ex-post risk profile measurements (tracking error and tracking error volatility, turnovers, risk and return ratios). A risk platform runs various analyses including stress testing, VaR measurement, risk sources analysis, delta adjusted market exposures and sensitivities. | Analyst-Equity | 01/10/2018 |
Esperienze
Posizioni ricoperte
Attive
Inattive
Società nel listino
Aziende private
Relazioni
Relazioni di 1° grado
Aziende connesse in 1º grado
Uomo
Donna
Amministratori
Dirigenti
Società collegate
| Aziende private | 2 |
|---|---|
Générali Investments Europe SpA SGR (France)
Générali Investments Europe SpA SGR (France) Investment ManagersFinance Generali Investments France is an active manager which follows a risk-cautious, fundamentals-based approach in order to generate consistent, low volatility returns over the long-term and protect invested capital. The firm combines top-down and bottom-up inputs provided by in-house research teams. They first analyze macro-economic indicators and the general political environment to evaluate their potential impact on the main financial markets. Dedicated committees decide on the strategic asset allocation and provide short-term forecast on equity and fixed-income markets driving tactical allocation to be implemented by the portfolio managers who select securities based on inputs from proprietary bottom-up securities analysis, ESG screening and quantitative models. Their bottom-up research team covers mainly European, US and Asian companies, providing equity recommendations and internal credit ratings to portfolio managers, who combine the positive aspects of equity analysis (expectations on revenues and profitability evolution) and credit analysis (debt distribution and cash flows) to analyze companies in an organic manner and identify the financial instrument with the most attractive risk/return profile (equities, convertible bonds, corporate bonds). Risk management is fully integrated in the firm's investment process and provides daily inputs to portfolio managers along with ex-ante analysis (VaR, simulations, expected yield) and ex-post risk profile measurements (tracking error and tracking error volatility, turnovers, risk and return ratios). A risk platform runs various analyses including stress testing, VaR measurement, risk sources analysis, delta adjusted market exposures and sensitivities. | Finance |
Générali Investments Partners SpA SGR (France)
Générali Investments Partners SpA SGR (France) Investment ManagersFinance Generali Asset Management-France leverages both internal and external expertise, the latter through boutiques that Generali Investments has acquired, invested in or created, and in which the company holds a majority share. They offer a large variety of active fixed income strategies and Eurozone equity strategies. The firm has a multi-asset team that combines quantitative and qualitative approaches to design and manage most efficient asset allocations to generate risk-adjusted returns over the mid to long-term. | Finance |
















