Profil
Mr. Florian Komac is an Investment Manager at GAM Investment Management (Switzerland) AG.
He is an Investment Manager in the strategic bond franchise, specializing in developed markets credit.
Before joining GAM, Florian was a Portfolio Manager at AXA XL, working with corporate credit and municipal bonds.
Before this, he was a Portfolio Manager at Swiss Reinsurance Company and held Portfolio Manager and Credit Analyst positions at Amundi Pioneer Investments.
He started his career at UniCredit Bank in the mortgage loans department.
He holds a Degree in Business Administration from the Frankfurt School of Finance and Management and holds the Chartered Bank Assistant qualification.
Postes actifs de Florian Komac
| Sociétés | Poste | Début |
|---|---|---|
GAM Investment Management (Switzerland) AG
GAM Investment Management (Switzerland) AG Investment ManagersFinance GAM Switzerland is an active, conviction-based manager which developed a comprehensive range of investment strategies asset classes and styles, with core capabilities in fixed income, equity, multi asset & solutions and systematic. All the strategies share one common aim: to deliver positive, long-term absolute returns with controlled volatility and low correlation to traditional asset classes. The firm’s investment philosophy and approach add value through active decision-making at three levels: long-term strategic asset allocation, short-term tactical asset allocation and underlying investments. GAM uses in-house and external managers to manage their funds. | Portfolio Manager-Fixed Income | 01/09/2019 |
Expériences
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Sociétés cotées
Entreprise privées
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Entreprises liées au 1er degré
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Sociétés liées
| Entreprise privées | 1 |
|---|---|
GAM Investment Management (Switzerland) AG
GAM Investment Management (Switzerland) AG Investment ManagersFinance GAM Switzerland is an active, conviction-based manager which developed a comprehensive range of investment strategies asset classes and styles, with core capabilities in fixed income, equity, multi asset & solutions and systematic. All the strategies share one common aim: to deliver positive, long-term absolute returns with controlled volatility and low correlation to traditional asset classes. The firm’s investment philosophy and approach add value through active decision-making at three levels: long-term strategic asset allocation, short-term tactical asset allocation and underlying investments. GAM uses in-house and external managers to manage their funds. | Finance |
















