Profil
Albert Reculeau served as the Chief Executive Officer of SG Asset Management (Singapore) Ltd. from 2003 to 2005.
He also served as the Chairman and Chief Executive Officer of Amundi Czech Republic investicní spolecnost.
AS from 2008 to 2015.
Anciens postes connus de Albert Reculeau
| Sociétés | Poste | Fin |
|---|---|---|
Amundi Czech Republic investicní spolecnost AS
Amundi Czech Republic investicní spolecnost AS Investment ManagersFinance Amundi CR's core business is the management of open-ended mutual funds that covers all asset classes from both main and emerging markets. The core of the offer consists of funds seeking investment opportunities in the markets of Central and Eastern Europe. The firm actively managed portfolios, premium asset management funds, a dividend fund paying part of the profits in the form of dividends and a certain income every year, real estate investments, or private equity for small and medium-sized businesses that normally do not have access. | Directeur Général | 01/10/2015 |
SG Asset Management (Singapore) Ltd.
SG Asset Management (Singapore) Ltd. Investment ManagersFinance SGAMS is a GARP-oriented, active investment manager that follows a team approach to investment and decision making. The firm performs fundamental research and pools resources and insight from their market specialists. Their fund managers are local market specialists that assess social, political and economic developments at macro- and microeconomic levels. The firm believes that superior returns in the Asia Pacific ex-Japan markets are captured over the long-term through investing in quality companies with high growth potential and seeks to capture the long-term secular growth trend in Asia Pacific ex-Japan, while placing less emphasis on short-term market cycles. SGAMS constructs portfolios using bottom-up and top-down approaches. They use a bottom-up process to select securities in each Asia Pacific ex-Japan country. The investment team performs research to identify quality companies with strong fundamentals, good growth prospects and reasonable valuations and then uses top-down macroeconomic and market analyses to derive the optimal country allocations. Their investment process is backed by a company visit program and supplemented by quantitative stock screening models based on in-house databases | President | 27/10/2005 |
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
Relations
Relations au 1er degré
Entreprises liées au 1er degré
Homme
Femme
Administrateurs
Exécutifs
Sociétés liées
| Entreprise privées | 2 |
|---|---|
SG Asset Management (Singapore) Ltd.
SG Asset Management (Singapore) Ltd. Investment ManagersFinance SGAMS is a GARP-oriented, active investment manager that follows a team approach to investment and decision making. The firm performs fundamental research and pools resources and insight from their market specialists. Their fund managers are local market specialists that assess social, political and economic developments at macro- and microeconomic levels. The firm believes that superior returns in the Asia Pacific ex-Japan markets are captured over the long-term through investing in quality companies with high growth potential and seeks to capture the long-term secular growth trend in Asia Pacific ex-Japan, while placing less emphasis on short-term market cycles. SGAMS constructs portfolios using bottom-up and top-down approaches. They use a bottom-up process to select securities in each Asia Pacific ex-Japan country. The investment team performs research to identify quality companies with strong fundamentals, good growth prospects and reasonable valuations and then uses top-down macroeconomic and market analyses to derive the optimal country allocations. Their investment process is backed by a company visit program and supplemented by quantitative stock screening models based on in-house databases | Finance |
Amundi Czech Republic investicní spolecnost AS
Amundi Czech Republic investicní spolecnost AS Investment ManagersFinance Amundi CR's core business is the management of open-ended mutual funds that covers all asset classes from both main and emerging markets. The core of the offer consists of funds seeking investment opportunities in the markets of Central and Eastern Europe. The firm actively managed portfolios, premium asset management funds, a dividend fund paying part of the profits in the form of dividends and a certain income every year, real estate investments, or private equity for small and medium-sized businesses that normally do not have access. | Finance |
















