Profilo
Mr. Andreas Maxein is a Portfolio Manager at ALTE LEIPZIGER Trust Investment-Gesellschaft mbH.
Mr. Maxein was previously employed as a Portfolio Manager by GS&P Kapitalanlagegesellschaft SA.
He received his undergraduate degree from the University of Trier and a graduate degree from the University of Trier.
Posizioni attive di Andreas Maxein
| Società | Posizione | Inizio |
|---|---|---|
ALTE LEIPZIGER Trust Investment-Gesellschaft mbH
ALTE LEIPZIGER Trust Investment-Gesellschaft mbH Investment ManagersFinance ALT pursues a consistent, security-oriented investment strategy in its excellently rated bond and money market funds. In the case of equity funds, certain sectors/regions are over weighted or underweighted compared to the indices, depending on the expected market situation. When selecting securities, the factors quality and security are always weighted higher than a possible quick profit, which may be at the expense of security. They have also proven their strength in recent years with their products invested in national, European and international equities (funds). With a focus on substantial and profitable companies that are listed in the most important stock indices such as DAX, MDAX, Euro Stoxx 50, profit-oriented investors can score long-term even in times of low profitability . | Gestore di Portafoglio-Azioni | 01/06/2019 |
Precedenti posizioni note di Andreas Maxein
| Società | Posizione | Fine |
|---|---|---|
GS&P Kapitalanlagegesellschaft SA
GS&P Kapitalanlagegesellschaft SA Investment ManagersFinance GS&P is an active, long-term manager which utilizes a quantitative investment approach to create sustainable value for investors. The firm constructs diversified portfolios, aiming to select an appropriate mix of stocks, bonds and liquidity by taking into account economic and market-specific conditions. They select stock based on the fundamental worth of a company and only invest where growth and profitability are secured through stable entrepreneurial practices. The same standards are also applied to fixed-income securities, which they employ to stabilize their portfolios. | Gestore di Portafoglio-Azioni | 01/05/2019 |
Formazione di Andreas Maxein
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 | 3 |
|---|---|
ALTE LEIPZIGER Trust Investment-Gesellschaft mbH
ALTE LEIPZIGER Trust Investment-Gesellschaft mbH Investment ManagersFinance ALT pursues a consistent, security-oriented investment strategy in its excellently rated bond and money market funds. In the case of equity funds, certain sectors/regions are over weighted or underweighted compared to the indices, depending on the expected market situation. When selecting securities, the factors quality and security are always weighted higher than a possible quick profit, which may be at the expense of security. They have also proven their strength in recent years with their products invested in national, European and international equities (funds). With a focus on substantial and profitable companies that are listed in the most important stock indices such as DAX, MDAX, Euro Stoxx 50, profit-oriented investors can score long-term even in times of low profitability . | Finance |
University of Trier
University of Trier Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
GS&P Kapitalanlagegesellschaft SA
GS&P Kapitalanlagegesellschaft SA Investment ManagersFinance GS&P is an active, long-term manager which utilizes a quantitative investment approach to create sustainable value for investors. The firm constructs diversified portfolios, aiming to select an appropriate mix of stocks, bonds and liquidity by taking into account economic and market-specific conditions. They select stock based on the fundamental worth of a company and only invest where growth and profitability are secured through stable entrepreneurial practices. The same standards are also applied to fixed-income securities, which they employ to stabilize their portfolios. | Finance |
















