Profil
Mr. Michel Wiskirski is a Senior Analyst at Carmignac Gestion SA. He joined Carmignac in 2014 as a Product Specialist in emerging markets and commodities before being appointed as an Analyst specializing in emerging markets in 2015 and then as a Fund Manager in 2018.
He has over 19 years of experience.
Mr. Wiskirski started his career in 2006 at Crédit Agricole CIB where he worked as a Financial Analyst and shifted to BNP Paribas-Fortis Banque in 2007 where he held the position of Credit Analyst until 2008.
In 2010, he joined UBS Investment Bank in London as an Associate in the EMEA Cross Asset Solutions team, a position he held until 2014.
He holds a Master’s degree in Finance from ESSEC Business School, and two Master’s degrees in Law, one from the University of Oxford and one from the University of Paris II-Assas.
Postes actifs de Michel Wiskirski
| Sociétés | Poste | Début |
|---|---|---|
Carmignac Gestion SA
Carmignac Gestion SA Investment ManagersFinance Carmignac is an active manager which employs a long-term investment strategy. The firm invests predominantly in equity with no market-cap restrictions and favors sectors such as raw materials, energy and precious and non-precious metals. Investment themes include consumption in emerging regions, China, Brazil and South Korea. They also invest in US large-cap companies. Carmignac employs a flexible, top-down sector allocation process and emphasizes liquidity. Emerging markets account for a sizeable proportion of their portfolios. | Gestionnaire de Portefeuille-Actions | 01/01/2018 |
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Entreprise privées
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Sociétés liées
| Entreprise privées | 1 |
|---|---|
Carmignac Gestion SA
Carmignac Gestion SA Investment ManagersFinance Carmignac is an active manager which employs a long-term investment strategy. The firm invests predominantly in equity with no market-cap restrictions and favors sectors such as raw materials, energy and precious and non-precious metals. Investment themes include consumption in emerging regions, China, Brazil and South Korea. They also invest in US large-cap companies. Carmignac employs a flexible, top-down sector allocation process and emphasizes liquidity. Emerging markets account for a sizeable proportion of their portfolios. | Finance |
















