Profil
Mr. Reijo Manninen is a Portfolio Manager at 3C Asset Management Oy.
He started his career in 1987 as a portfolio manager in Kansa insurance company and later in the investment company Nobiscum Oy.
He started as a broker in Interbank in 1991 and became the bank's asset manager in 1993.
He helped founding the bank's fund management company and worked as Managing Director and Portfolio Manager in the new company.
When Mandatum bought Interbank Reijo continued his career in asset management.
In 2000 he was appointed as Investment Manager in Mandatum Asset Management Ltd.
Mr. Manninen has 15 years of experience on the capital market and he joined 3C in June 2002.
He works as the portfolio manager of the Mandatum Omega, Mandatum Neutral and Mandatum Kontra funds.
Anciens postes connus de Reijo Manninen
| Sociétés | Poste | Fin |
|---|---|---|
Danske Capital Finland Ltd.
Danske Capital Finland Ltd. Investment ManagersFinance Danske-Finland is an active, long-term manager which constructs portfolios invested in equity, debt and alternative instruments across strategies and regions with a strong emphasis on European markets. They focus on core investment areas and select external managers for investments in regions where they do not possess specialist expertise, seeking to identify global trends within traditional and new, fast growing sectors. The firm's equity investment philosophy follows a bottom-up approach and is based on the belief that markets are inefficient, especially when it comes to pricing companies undergoing changes. Their investment process begins with systematic qualitative and quantitative screening designed to identify and evaluate companies experiencing or about to experience changes. They then apply their proprietary valuation model, DCF, which is based on fundamental analysis. The final step of the process is a comparison of the changes undergone by companies, their quality and their market evaluation. Danske-Finland 's fixed-income investment philosophy also aims to exploit market inefficiencies and consists of a top-down and bottom-up research process combined with quantitative and qualitative analysis. | Gestionnaire de Portefeuille-Actions | 19/05/2011 |
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| Entreprise privées | 1 |
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Danske Capital Finland Ltd.
Danske Capital Finland Ltd. Investment ManagersFinance Danske-Finland is an active, long-term manager which constructs portfolios invested in equity, debt and alternative instruments across strategies and regions with a strong emphasis on European markets. They focus on core investment areas and select external managers for investments in regions where they do not possess specialist expertise, seeking to identify global trends within traditional and new, fast growing sectors. The firm's equity investment philosophy follows a bottom-up approach and is based on the belief that markets are inefficient, especially when it comes to pricing companies undergoing changes. Their investment process begins with systematic qualitative and quantitative screening designed to identify and evaluate companies experiencing or about to experience changes. They then apply their proprietary valuation model, DCF, which is based on fundamental analysis. The final step of the process is a comparison of the changes undergone by companies, their quality and their market evaluation. Danske-Finland 's fixed-income investment philosophy also aims to exploit market inefficiencies and consists of a top-down and bottom-up research process combined with quantitative and qualitative analysis. | Finance |
















