Profilo
Marine David formerly worked at Auris Gestion SA, as Equity Analyst from 2016 to 2021 and Delubac Asset Management SA, as Equity Portfolio Manager from 2022 to 2024.
Ms. David received her graduate degree in 2014 from UCD Michael Smurfit Graduate School of Business.
Precedenti posizioni note di Marine David
| Società | Posizione | Fine |
|---|---|---|
Delubac Asset Management SA
Delubac Asset Management SA Investment ManagersFinance Delubac Asset Management seeks to grow savings over the long term as part of a disciplined and exacting conviction-led management approach that is independent of any benchmark. | Gestore di Portafoglio-Azioni | 01/11/2024 |
Auris Gestion SA
Auris Gestion SA Investment ManagersFinance Auris Gestion is an active, long-term, benchmark agnostic manager which emphasizes preservation of capital and aims to integrate capability of asset classes and nontraditional niche products to optimize the risk/return of each portfolio. The firm performs rigorous risk control and defines the economic objectives and expectations of each client, employing a range of strategies including mutual funds and securities selection, alternative investments, sales of structured products, derivatives for hedging risk and investment in specific securities or sectors. | Analyst-Equity | 01/08/2021 |
Formazione di Marine David
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 |
|---|---|
Delubac Asset Management SA
Delubac Asset Management SA Investment ManagersFinance Delubac Asset Management seeks to grow savings over the long term as part of a disciplined and exacting conviction-led management approach that is independent of any benchmark. | Finance |
Auris Gestion SA
Auris Gestion SA Investment ManagersFinance Auris Gestion is an active, long-term, benchmark agnostic manager which emphasizes preservation of capital and aims to integrate capability of asset classes and nontraditional niche products to optimize the risk/return of each portfolio. The firm performs rigorous risk control and defines the economic objectives and expectations of each client, employing a range of strategies including mutual funds and securities selection, alternative investments, sales of structured products, derivatives for hedging risk and investment in specific securities or sectors. | Finance |
UCD Michael Smurfit Graduate School of Business
UCD Michael Smurfit Graduate School of Business Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
















