Frank Christian Hofmann

Frank Christian Hofmann

Analyst-Fixed Income chez Lazard Asset Management (Deutschland) GmbH

Profil

Mr. Frank Christian Hofmann, CFA, is a Senior Vice President, Risk Manager & ESG Analyst at Lazard Asset Management (Deutschland) GmbH.
He joined the firm in 2000.
He is responsible for the development and integration of Lazard’s ESG approach.
Before he transferred to Risk Management, he was a Senior Portfolio Manager in Fixed Income Portfolio Management for 16 years.
As an Analyst, he was responsible for securitization, utilities, and real estate companies.
He began working in the investment field in 1996.
Before joining Lazard, he was a Junior Portfolio Manager with Oppenheim Kapitalanlagegesellschaft and a Portfolio Analyst at Commerz International Capital Management.
He has a Diploma in Finance/Economics from Hochschule für Bankwirtschaft.
He is a member of the CFA Institute.

Postes actifs de Frank Christian Hofmann

SociétésPosteDébut
Analyst-Fixed Income 01/01/2000
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