Profilo
Luc Varenne is a Fund Manager at Oddo BHF Asset Management SAS since 2013.
Prior to this, he worked as a Gérant at Neuflize OBC Asset Management SA from 2001 to 2010 and as a Portfolio Manager at ABN AMRO Investment Solutions SA from 2010 to 2013.
Posizioni attive di Luc Varenne
| Società | Posizione | Inizio |
|---|---|---|
Oddo BHF Asset Management SAS
Oddo BHF Asset Management SAS Investment ManagersFinance Oddo BHF AM is an active, long-term manager that offers a unique range of effective investment solutions on all main asset classes: European equities, corporate bonds (investment grade and high yield), convertible bonds and asset allocation solutions. The firm invests globally in a variety of asset classes including equity, fixed-income, convertible bonds, money market instruments, alternative assets and private equity. They have special expertise in mid-caps, theme investing, and quantitative equity management and manage a range of strategies including money market, hedge, balanced, active asset allocation, structured products and multimanager. Oddo BHF AM follows a bottom-up approach based on in-house fundamental research to select stocks and exploit market inefficiencies. Their equity and fixed-income teams operate in close relationship, using a combination of quantitative and fundamental analysis. | Gestore di Portafoglio-Azioni | 01/09/2013 |
Precedenti posizioni note di Luc Varenne
| Società | Posizione | Fine |
|---|---|---|
ABN AMRO Investment Solutions SA
ABN AMRO Investment Solutions SA Investment ManagersFinance AAIS is an active, conviction-driven manager which performs fundamental analysis, aiming to identify portfolio value, structural and cyclical themes, investment opportunities and selection of securities and mutual funds. The firm collaborates with Banque Neuflize OBC and ABN AMRO Advisors to select mutual funds and provide consulting services. Their analytical teams perform qualitative studies to evaluate mutual funds and management companies. AAIS’s multi-management revolves around two activities: Multi-asset portfolio management combines funds of funds, funds of mandates and profiled funds designed for private and institutional clients in France, Netherlands and worldwide; and Alternative investment offers a range of absolute performance oriented solutions (non-benchmarked), alternative solution (Hedge Funds and Private Equity) as well as risk budget-constrained solutions. | Gestore di Portafoglio-Azioni | 01/08/2013 |
Neuflize OBC Asset Management SA
Neuflize OBC Asset Management SA Miscellaneous Commercial ServicesCommercial Services NOAM engages in both active and passive investing and manages a wide range of funds across assets classes, regions, sectors and strategies. They manage three main types of funds: pure funds, which focus on a specific asset class or geographic region and use local market indices as performance benchmarks, diversified funds based on a global asset management model, and structured funds, whose objectives are predetermined by clients. Their individual portfolio managers, who specialize in particular geographical areas such as the U.S., Europe, or Asia are responsible for security selection; however, they are assisted by the geographically located analysts of ABN AMRO's global network. Strategic asset allocation is the result of the anticipation by portfolio managers of markets evolutions together with the recommendations of the firm's investment committee. The firm uses indices and quantitative research to position investments and to measure and set targets for initial and on going investments. | Gestore di Portafoglio-Azioni | 03/06/2010 |
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 |
|---|---|
Oddo BHF Asset Management SAS
Oddo BHF Asset Management SAS Investment ManagersFinance Oddo BHF AM is an active, long-term manager that offers a unique range of effective investment solutions on all main asset classes: European equities, corporate bonds (investment grade and high yield), convertible bonds and asset allocation solutions. The firm invests globally in a variety of asset classes including equity, fixed-income, convertible bonds, money market instruments, alternative assets and private equity. They have special expertise in mid-caps, theme investing, and quantitative equity management and manage a range of strategies including money market, hedge, balanced, active asset allocation, structured products and multimanager. Oddo BHF AM follows a bottom-up approach based on in-house fundamental research to select stocks and exploit market inefficiencies. Their equity and fixed-income teams operate in close relationship, using a combination of quantitative and fundamental analysis. | Finance |
Neuflize OBC Asset Management SA
Neuflize OBC Asset Management SA Miscellaneous Commercial ServicesCommercial Services NOAM engages in both active and passive investing and manages a wide range of funds across assets classes, regions, sectors and strategies. They manage three main types of funds: pure funds, which focus on a specific asset class or geographic region and use local market indices as performance benchmarks, diversified funds based on a global asset management model, and structured funds, whose objectives are predetermined by clients. Their individual portfolio managers, who specialize in particular geographical areas such as the U.S., Europe, or Asia are responsible for security selection; however, they are assisted by the geographically located analysts of ABN AMRO's global network. Strategic asset allocation is the result of the anticipation by portfolio managers of markets evolutions together with the recommendations of the firm's investment committee. The firm uses indices and quantitative research to position investments and to measure and set targets for initial and on going investments. | Commercial Services |
ABN AMRO Investment Solutions SA
ABN AMRO Investment Solutions SA Investment ManagersFinance AAIS is an active, conviction-driven manager which performs fundamental analysis, aiming to identify portfolio value, structural and cyclical themes, investment opportunities and selection of securities and mutual funds. The firm collaborates with Banque Neuflize OBC and ABN AMRO Advisors to select mutual funds and provide consulting services. Their analytical teams perform qualitative studies to evaluate mutual funds and management companies. AAIS’s multi-management revolves around two activities: Multi-asset portfolio management combines funds of funds, funds of mandates and profiled funds designed for private and institutional clients in France, Netherlands and worldwide; and Alternative investment offers a range of absolute performance oriented solutions (non-benchmarked), alternative solution (Hedge Funds and Private Equity) as well as risk budget-constrained solutions. | Finance |
















