Profil
Mr. Jean-Louis P.
Scandella is a Chief Investment Officer of Equities at Natixis Investment Managers International SA. He is responsible for bolstering European and emerging market equity capabilities, as well as repositioning the expertise range to deliver the highest possible investment outcomes for clients.
He oversees equity portfolio management teams based in Paris and Singapore.
Prior to his tenure at Barings, he served as emerging markets portfolio manager at Comgest and spent 14 years within Société Générale group, having notably developed the bank’s European emerging markets activity in London.
Anciens postes connus de Jean-Louis Patrick Scandella
| Sociétés | Poste | Fin |
|---|---|---|
Baring Asset Management Ltd.
Baring Asset Management Ltd. Investment ManagersFinance Barings UK focuses on building long-term, trusted partnerships with their clients and utilizes an active management approach, built upon fundamental analysis, to help meet their long-term investment goals. The firm leverages its depth and breadth of expertise across the global fixed income, alternative investment and equity markets. Their expansive asset market coverage, includes global fixed income presence and high active equity expertise in international and emerging markets, contributes to the firm’s strength in multi-asset investing. This encompasses solutions such as income, target return and absolute return. | Head-Equity Investments | 01/11/2016 |
Comgest SA
Comgest SA Investment ManagersFinance Comgest aims to provide consistent quality growth investment across global equity markets. They build their concentrated portfolios of 25-50 stocks around this principle. The firm invests in long-term quality growth companies, agnostic of benchmarks, countries and sectors. Comgest applies a disciplined approach based on rigorous proprietary research and highly selective bottom-up stock picking. | Gestionnaire de Portefeuille-Actions | 29/05/2014 |
Natixis Investment Managers International SA
Natixis Investment Managers International SA Investment ManagersFinance NIM International is an active, growth-oriented, research-based manager which integrates top-down asset allocation with a bottom-up approach of sector weightings and stock selection. They define themselves as a global balanced manager with a strong focus on Europe and invest across asset classes. The firm has expertise in European equities, fixed-income global emerging equities and responsible investments. | Head-Equity Investments | - |
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 | 3 |
|---|---|
Comgest SA
Comgest SA Investment ManagersFinance Comgest aims to provide consistent quality growth investment across global equity markets. They build their concentrated portfolios of 25-50 stocks around this principle. The firm invests in long-term quality growth companies, agnostic of benchmarks, countries and sectors. Comgest applies a disciplined approach based on rigorous proprietary research and highly selective bottom-up stock picking. | Finance |
Baring Asset Management Ltd.
Baring Asset Management Ltd. Investment ManagersFinance Barings UK focuses on building long-term, trusted partnerships with their clients and utilizes an active management approach, built upon fundamental analysis, to help meet their long-term investment goals. The firm leverages its depth and breadth of expertise across the global fixed income, alternative investment and equity markets. Their expansive asset market coverage, includes global fixed income presence and high active equity expertise in international and emerging markets, contributes to the firm’s strength in multi-asset investing. This encompasses solutions such as income, target return and absolute return. | Finance |
Natixis Investment Managers International SA
Natixis Investment Managers International SA Investment ManagersFinance NIM International is an active, growth-oriented, research-based manager which integrates top-down asset allocation with a bottom-up approach of sector weightings and stock selection. They define themselves as a global balanced manager with a strong focus on Europe and invest across asset classes. The firm has expertise in European equities, fixed-income global emerging equities and responsible investments. | Finance |
















