Profil
Mr. Eli Djurfanto is a President, Director & Head of Investment at PT FWD Asset Management.
He has worked in the financial industry since 1997 and held various positions prior to joining FWD Asset Management.
He previously worked as Head of Fixed Income at PT Manulife Aset Manajemen Indonesia, Head of Portfolio Management at PT ABN Amro Investment Management and Head of Product and Investment Advisory at PT.
ABN Amro Private Clients.
He obtained a Master of Business degree in Finance from the University of Technology, Sydney, Australia in 1998 and a Bachelor of Economics from Atma Jaya Catholic University in Jakarta, Indonesia in 1992.
Postes actifs de Eli Djurfanto
| Sociétés | Poste | Début |
|---|---|---|
PT FWD Asset Management
PT FWD Asset Management Investment ManagersFinance FWD Asset Management’s product options range from conservative mutual funds such as money market funds to aggressive equity funds for investors who are accustomed to market volatility. For Equity Funds, the firm takes an active management approach using top-down and bottom-up research and incorporates ESG (Environmental, Social and Governance) factors when selecting companies in the formation of its portfolio. Their Fixed Income and Money Market Mutual Funds aims to maximize returns by investing in fixed income and money market securities that provide the most attractive returns for a given level of risk. Mixed Mutual Fund combines expertise in finding the fixed income securities that provide the most attractive returns for a given risk with active equity portfolio management that exploits market inefficiencies. | President | 01/11/2010 |
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Sociétés liées
| Entreprise privées | 1 |
|---|---|
PT FWD Asset Management
PT FWD Asset Management Investment ManagersFinance FWD Asset Management’s product options range from conservative mutual funds such as money market funds to aggressive equity funds for investors who are accustomed to market volatility. For Equity Funds, the firm takes an active management approach using top-down and bottom-up research and incorporates ESG (Environmental, Social and Governance) factors when selecting companies in the formation of its portfolio. Their Fixed Income and Money Market Mutual Funds aims to maximize returns by investing in fixed income and money market securities that provide the most attractive returns for a given level of risk. Mixed Mutual Fund combines expertise in finding the fixed income securities that provide the most attractive returns for a given risk with active equity portfolio management that exploits market inefficiencies. | Finance |
















