Profil
Mr. Wolfgang Kuhn, CFA, is a Head of Euro Fixed Income at Aberdeen Asset Managers Ltd. He joined the firm in 2006.
He was employed at UBS Global Asset Management and Deutsche Asset Management in Frankfurt.
He started his career as Analyst for emerging market debt at DG Bank.
Mr. Kuhn graduated from the Technical University of Berlin, Germany, as "Diplom-Kaufmann".
He also studied at Freiburg University, Germany, and the University of Wisconsin, USA and is a CFA charter holder, a Certified EFFAS Financial Analyst (CEFA) and a Financial Risk Manager (FRM).
Anciens postes connus de Wolfgang Kuhn
| Sociétés | Poste | Fin |
|---|---|---|
abrdn Investments Ltd.
abrdn Investments Ltd. Investment ManagersFinance aIL is an active manager that makes their investment decisions using first-hand research. They conduct proprietary research to identify investment opportunities with attractive risk-reward characteristics. The firm combines multiple non-correlated investment decisions with risk monitoring and management. Their strategies include equities, fixed income, private markets, alternative investments and real estate. aIL utilizes a bottom-up, fundamental stock-picking approach, where sector, regional and country allocations are a residual of their bottom-up stock selection decisions, constrained by appropriate risk controls. | Head-Fixed Income Invts | 11/12/2017 |
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| Entreprise privées | 1 |
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abrdn Investments Ltd.
abrdn Investments Ltd. Investment ManagersFinance aIL is an active manager that makes their investment decisions using first-hand research. They conduct proprietary research to identify investment opportunities with attractive risk-reward characteristics. The firm combines multiple non-correlated investment decisions with risk monitoring and management. Their strategies include equities, fixed income, private markets, alternative investments and real estate. aIL utilizes a bottom-up, fundamental stock-picking approach, where sector, regional and country allocations are a residual of their bottom-up stock selection decisions, constrained by appropriate risk controls. | Finance |
















