Profil
Ms. Marion Diana Gridl, CFA, is a Co-Managing Director at Gridl Asset Management GmbH.
She spent more than 20 years in fixed income fund management, focusing on corporate and convertible bonds and high-yield bonds, and is, therefore, a proven expert in this asset class.
After completing a commercial apprenticeship, Ms. Gridl began her career in 1991 at Sparkasse Freiburg as a Client Advisor.
From 2001 until 2006, she worked as a responsible Fund Manager for convertibles and a Research Manager for global bonds.
Ms. Gridl was employed as a Portfolio Manager by Clariden Leu AG.
After that, she worked at Credit Suisse AG in Zurich for ten years as a senior portfolio manager in corporate bonds, convertibles, and high-yield with reference currencies Euro and US dollars.
Ms. Gridl has a master's degree in Economics from the University of Freiburg and studied Bank Management at the University of Basel.
Moreover, she is a certified asset manager (having graduated from the DIA at Freiburg University) and a CFA Charterholder.
Postes actifs de Marion Gridl
| Sociétés | Poste | Début |
|---|---|---|
Gridl Asset Management GmbH
Gridl Asset Management GmbH Investment ManagersFinance Gridl Asset Management focuses on absolute return multi-asset class strategies. The firm seeks to generate the highest possible increase in value of invested capital, while at the same time generating regular attractive dividends, with limited dependence on the performance of traditional investment categories. They aim to generate a minimum return of Euribor (3 months) + 3.00% in the medium term. Gridl Asset Management’s investment strategy is based primarily on a macroeconomic top-down approach, which reflects the philosophy of the firm. Based on this analysis they derive and define a Tactical Asset Allocation (TAA). | Directeur Général | 01/11/2016 |
Anciens postes connus de Marion Gridl
| Sociétés | Poste | Fin |
|---|---|---|
Clariden Leu AG
Clariden Leu AG Regional BanksFinance Provides Investment Advice | Portfolio Manager-Fixed Income | 24/05/2012 |
Credit Suisse AG
Credit Suisse AG Investment ManagersFinance Credit Suisse is an active, growth-oriented and research-driven manager which aims to create value for shareholders by taking advantage of their global integrated network. The firm seeks to follow a balanced approach to wealth management, which aims to capitalize on both the large pool of wealth within mature markets as well as the significant growth in wealth in Asia Pacific and other emerging markets, while also serving key developed markets with an emphasis on Switzerland. Credit Suisse invests in a range of asset classes including equities, fixed-income, multiple-asset class products, real estate, hedge funds, private equity, and volatility management that combines a top-down approach for asset allocation with a bottom-up approach for stock selection. | Portfolio Manager-Fixed Income | - |
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| Entreprise privées | 3 |
|---|---|
Credit Suisse AG
Credit Suisse AG Investment ManagersFinance Credit Suisse is an active, growth-oriented and research-driven manager which aims to create value for shareholders by taking advantage of their global integrated network. The firm seeks to follow a balanced approach to wealth management, which aims to capitalize on both the large pool of wealth within mature markets as well as the significant growth in wealth in Asia Pacific and other emerging markets, while also serving key developed markets with an emphasis on Switzerland. Credit Suisse invests in a range of asset classes including equities, fixed-income, multiple-asset class products, real estate, hedge funds, private equity, and volatility management that combines a top-down approach for asset allocation with a bottom-up approach for stock selection. | Finance |
Clariden Leu AG
Clariden Leu AG Regional BanksFinance Provides Investment Advice | Finance |
Gridl Asset Management GmbH
Gridl Asset Management GmbH Investment ManagersFinance Gridl Asset Management focuses on absolute return multi-asset class strategies. The firm seeks to generate the highest possible increase in value of invested capital, while at the same time generating regular attractive dividends, with limited dependence on the performance of traditional investment categories. They aim to generate a minimum return of Euribor (3 months) + 3.00% in the medium term. Gridl Asset Management’s investment strategy is based primarily on a macroeconomic top-down approach, which reflects the philosophy of the firm. Based on this analysis they derive and define a Tactical Asset Allocation (TAA). | Finance |
















