Profilo
Mr. Ricardo Granda Seminario is a Fixed Income Portfolio Manager at Caja Ingenieros Gestión SGIIC SA.
He was previously employed as a Director & Credit Analyst by Korea Investment Corp.
(UK) and a Portfolio Manager & Credit Analyst by Deutsche Asset Management (UK) Ltd. (Investment Management).
He has a Bachelor in Economics at Universidad del Pacifico and and MBA at London Business School.
Posizioni attive di Ricardo Granda
| Società | Posizione | Inizio |
|---|---|---|
Caja Ingenieros Gestión SGIIC SA
Caja Ingenieros Gestión SGIIC SA Investment ManagersFinance CIG is an active, growth-oriented manager which invests globally in debt and equity across sectors and market caps. The firm invests in Euro-zone public and private fixed-income, Spanish equity, Euro-zone equity, US equity, Japanese equity, UK equity, emerging markets equity, funds of funds and money market. They benchmark their equity portfolios against the MSCI, Eurostoxx-600 and Ibex-35 indexes. | Portfolio Manager-Fixed Income | 01/02/2022 |
Precedenti posizioni note di Ricardo Granda
| Società | Posizione | Fine |
|---|---|---|
Korea Investment Corp. (UK)
Korea Investment Corp. (UK) Financial ConglomeratesFinance KIC-UK seeks to generate consistent and sustainable returns in line with and in excess of relevant benchmarks, within appropriate levels of risk. They aim to increase returns while (1) minimizing the risks from individual markets and assets through portfolio diversification; and (2) exercising flexibility to seize investment opportunities. The firm can invest in asset classes including public equities, bonds, commodities, private equity, real estate, and hedge funds. | Analista-Rendimento Fisso | 01/08/2021 |
DWS Investments (UK) Ltd.
DWS Investments (UK) Ltd. Investment ManagersFinance DWS UK specializes in global alternative investments. They are an active, risk-aware manager which aims to achieve superior risk-adjusted returns through their multi-manager multi-strategy portfolios, multi-manager strategy-specific portfolios, and single-manager portfolios. The firm offers investors access to a diverse range of regional and global strategies across the spectrum of direct real estate and infrastructure, real estate and infrastructure securities and commodities, private equity, sustainable investments and hedge funds. | Analista-Rendimento Fisso | 01/04/2016 |
Formazione di Ricardo Granda
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 | 5 |
|---|---|
Universidad del Pacífico
Universidad del Pacífico Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
DWS Investments (UK) Ltd.
DWS Investments (UK) Ltd. Investment ManagersFinance DWS UK specializes in global alternative investments. They are an active, risk-aware manager which aims to achieve superior risk-adjusted returns through their multi-manager multi-strategy portfolios, multi-manager strategy-specific portfolios, and single-manager portfolios. The firm offers investors access to a diverse range of regional and global strategies across the spectrum of direct real estate and infrastructure, real estate and infrastructure securities and commodities, private equity, sustainable investments and hedge funds. | Finance |
Caja Ingenieros Gestión SGIIC SA
Caja Ingenieros Gestión SGIIC SA Investment ManagersFinance CIG is an active, growth-oriented manager which invests globally in debt and equity across sectors and market caps. The firm invests in Euro-zone public and private fixed-income, Spanish equity, Euro-zone equity, US equity, Japanese equity, UK equity, emerging markets equity, funds of funds and money market. They benchmark their equity portfolios against the MSCI, Eurostoxx-600 and Ibex-35 indexes. | Finance |
London Business School
London Business School Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Korea Investment Corp. (UK)
Korea Investment Corp. (UK) Financial ConglomeratesFinance KIC-UK seeks to generate consistent and sustainable returns in line with and in excess of relevant benchmarks, within appropriate levels of risk. They aim to increase returns while (1) minimizing the risks from individual markets and assets through portfolio diversification; and (2) exercising flexibility to seize investment opportunities. The firm can invest in asset classes including public equities, bonds, commodities, private equity, real estate, and hedge funds. | Finance |
















