Markus Thöny

Markus Thöny

Portfolio Manager-Fixed Income chez Lombard Odier Asset Management (Switzerland) SA

Profil

Mr. Markus Thöny is a Fixed Income Portfolio Manager at Lombard Odier Asset Management (Switzerland) SA. He is responsible for the Swiss Fixed Income Team within LOIM.
He joined in January 2012.
He is recognized as a Portfolio Manager with strong experience in global fixed income markets and a proven ability to develop world-class investment solutions that combine both qualitative and quantitative investment techniques.
Before joining, he was a Portfolio Manager at Zürcher Kantonalbank, where he managed Swiss, European, and global fixed income portfolios for institutional investors and developed new products and tailor-made client solutions from 2008 to 2011.
He began his career as a Quantitative Analyst with a focus on all aspects of asset management, including financial market modeling, forecasting, portfolio optimization, and asset allocation at the same firm in 2001.
He earned a master’s degree in mathematics from the Swiss Federal Institute of Technology in 2001.
He also holds a master’s degree in quantitative finance from the University of Zurich.

Postes actifs de Markus Thöny

SociétésPosteDébut
Portfolio Manager-Fixed Income 01/01/2012
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Analyst-Equity -
Portfolio Manager-Fixed Income -
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