Profil
Mr. Jean-Julien Goettmann, CFA, is a Founding Partner & Head of Sales at Anaxis Asset Management SAS.
Mr. Goettmann holds a MSc in Management from the Ecole Supérieure de Commerce de Rouen (valedictorian) and a Master in Business Finance from Université Paris-Dauphine.
He is also a Chartered Financial Analyst (CFA).
Postes actifs de Jean-Julien Goettmann
| Sociétés | Poste | Début |
|---|---|---|
Anaxis Asset Management SAS
Anaxis Asset Management SAS Investment ManagersFinance AAM’s strategy, called bond-picking, aims to select the bonds that offers the best risk/return characteristics through a thorough credit analysis of every issuing company. The firm’s process is built on a bottom-up selection of individual bonds while ensuring an appropriate diversification and risk control at a portfolio level. They favor companies benefiting from high barriers to entry, a regular turnover, a flexible cost structure and prudent management of their balance sheets. AAM excludes the financial sector from their portfolio because of its lack of transparency and predictability. The firm has also expanded its rigorous financial analysis expertise to stocks by launching a European equity fund. They apply the same philosophy to the management of their equities portfolio. | Fondateur | 01/07/2010 |
Expériences
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Sociétés cotées
Entreprise privées
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Relations au 1er degré
Entreprises liées au 1er degré
Homme
Femme
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Sociétés liées
| Entreprise privées | 1 |
|---|---|
Anaxis Asset Management SAS
Anaxis Asset Management SAS Investment ManagersFinance AAM’s strategy, called bond-picking, aims to select the bonds that offers the best risk/return characteristics through a thorough credit analysis of every issuing company. The firm’s process is built on a bottom-up selection of individual bonds while ensuring an appropriate diversification and risk control at a portfolio level. They favor companies benefiting from high barriers to entry, a regular turnover, a flexible cost structure and prudent management of their balance sheets. AAM excludes the financial sector from their portfolio because of its lack of transparency and predictability. The firm has also expanded its rigorous financial analysis expertise to stocks by launching a European equity fund. They apply the same philosophy to the management of their equities portfolio. | Finance |
















