Profilo
Emmanuelle Navarro is currently a Portfolio Manager at CPR Asset Management SA since 2025.
Formerly, Ms. Navarro was a Portfolio Manager at BFT Investment Managers SA from 2020 to 2025 and worked as a Portfolio Manager at Société Générale Gestion SA.
Posizioni attive di Emmanuelle Navarro
| Società | Posizione | Inizio |
|---|---|---|
CPR Asset Management SA
CPR Asset Management SA Investment ManagersFinance CPR AM is an active, quantitative-oriented manager which follows a flexible investment approach that draws on value, growth and arbitrage investment styles. They specialize in fixed-income funds and also manage diversified and equity products. The firm invests in money-market instruments, equity, diversified products and fixed income. Asset allocation focuses on countries and sectors, focusing on the French, mid-cap European and emerging European markets. CPR AM's investment approach for diversified products relies on flexible tactical asset allocation. They invest in credit spreads and inflation-linked bonds following market-neutral strategies based on top-down fundamental analysis. Their blue-chip equity investment approach is bottom-up and opportunistic, and does not follow a particular investment style. CPR AM's Research Department performs the stock allocation, selection, risk management, and investment solutions. | Gestore di Portafoglio-Azioni | 01/10/2025 |
Precedenti posizioni note di Emmanuelle Navarro
| Società | Posizione | Fine |
|---|---|---|
BFT Investment Managers SA
BFT Investment Managers SA Investment ManagersFinance BFT IM follows a dynamic growth-oriented investment approach emphasizing flexibility, reactivity and innovation. The firm invests globally in fixed-income and equity, as well as in money-market instruments and alternative investments. Their investment process combines bottom-up and top-down considerations. Determinant criteria include earnings growth, quality business quality, balance sheet soundness and management's abilities. Research is conducted primarily in-house and includes company visits. | Gestore di Portafoglio-Azioni | 01/10/2025 |
Société Générale Gestion SA
Société Générale Gestion SA Investment ManagersFinance S2G combines the macro-economic (top-down) and micro-economic (bottom-up) strategies in creating portfolios to optimize the performance of their SICAV and FCP. The firm evaluates macroeconomic and alternative scenarios to adapt quickly to news and identify favorable assets, seeking to determine market trends by region, economic sector, asset class, currencies and management style. For bonds, they aim to create value by anticipating changes in bond yields, according to a defined investment process. | Gestore di Portafoglio-Azioni | - |
Esperienze
Posizioni ricoperte
Attive
Inattive
Società nel listino
Aziende private
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Relazioni di 1° grado
Aziende connesse in 1º grado
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Società collegate
| Aziende private | 3 |
|---|---|
CPR Asset Management SA
CPR Asset Management SA Investment ManagersFinance CPR AM is an active, quantitative-oriented manager which follows a flexible investment approach that draws on value, growth and arbitrage investment styles. They specialize in fixed-income funds and also manage diversified and equity products. The firm invests in money-market instruments, equity, diversified products and fixed income. Asset allocation focuses on countries and sectors, focusing on the French, mid-cap European and emerging European markets. CPR AM's investment approach for diversified products relies on flexible tactical asset allocation. They invest in credit spreads and inflation-linked bonds following market-neutral strategies based on top-down fundamental analysis. Their blue-chip equity investment approach is bottom-up and opportunistic, and does not follow a particular investment style. CPR AM's Research Department performs the stock allocation, selection, risk management, and investment solutions. | Finance |
BFT Investment Managers SA
BFT Investment Managers SA Investment ManagersFinance BFT IM follows a dynamic growth-oriented investment approach emphasizing flexibility, reactivity and innovation. The firm invests globally in fixed-income and equity, as well as in money-market instruments and alternative investments. Their investment process combines bottom-up and top-down considerations. Determinant criteria include earnings growth, quality business quality, balance sheet soundness and management's abilities. Research is conducted primarily in-house and includes company visits. | Finance |
Société Générale Gestion SA
Société Générale Gestion SA Investment ManagersFinance S2G combines the macro-economic (top-down) and micro-economic (bottom-up) strategies in creating portfolios to optimize the performance of their SICAV and FCP. The firm evaluates macroeconomic and alternative scenarios to adapt quickly to news and identify favorable assets, seeking to determine market trends by region, economic sector, asset class, currencies and management style. For bonds, they aim to create value by anticipating changes in bond yields, according to a defined investment process. | Finance |
















