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L’objectif de gestion du FCP vise à réaliser, sur la durée de placement recommandée supérieure à 5 ans, une performance au moyen d’une gestion discrétionnaire dans la sélection de titres dont les activités sont liées à des thématiques de développement durable telles que la lutte contre le réchauffement climatique, la préservation des ressources de la planète ou encore l’amélioration des conditions de vie des individus.
Nom | Titre | Depuis | Jusqu’à |
---|---|---|---|
Geoffroy Lenoir | - | 2019 | Maintenant |
Karine Petitjean | - | 2009 | Maintenant |
Biographie | Karine joined the firm in 2011. In her role as a Credit Risk Analysis she is responsible for providing research and recommendations for the Automotive, Food & Beverages, Media, Personal & Household Good, and Retail, Travel & Leisure industries of bonds issued by UK and European entities. She previously worked at Fortis Global Market on the sell-side as a credit analyst covering European Investment Grade Consumer sector. Prior to Fortis, she worked as a credit analyst on the sell-side covering European Luxury Goods and Cosmetic sectors at Meeschaert-Rousselle between 1997- through 2010. Karine holds a Masters in Economics & Finance from Pantheon Assas University and she is a member of the European Federation of Financial Analysts. | ||
Françoise Cespedes | - | 2009 | 2021 |
Biographie | Françoise is responsible for the fund management of Eurozone and SRI equity portfolios. Prior to joining Aviva Investors in 2017, Françoise worked for ABN AMRO Investment Solutions firstly as analyst and then as Equity Portfolio Manager and SRI development coordinator. Before this, Françoise was financial analyst in several companies, as Société Générale, ING Financial Markets or Aurel-Leven from 1997 to 2007. Françoise holds a Masters in Finance and cash management from ESC Paris. She is a member of the SFAF (French Society of Financial Analysts). | ||
Frédéric Tassin | - | 2015 | 2019 |
Biographie | Fréderic leads our European Equity team, and is also responsible for the fund management of a number of European Equity portfolios. Prior to assuming his current role, Frédéric was responsible for European equity and property portfolio management, a position he progressed to after joining Aviva Gestion d’Actifs (now Aviva Investors) specialising in the Banking, Insurance, Utilities and Property sectors. Frédéric began his career at CRI, joining as an assistant manager and becoming an equity fund manager two years later. Frédéric holds a DESS in Finance from the Université de Rennes 1 and is qualified with the French Society of Financial Analysts (SFAF). |
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