Profil
Mr. Massimiliano Gnesi is a Fund Manager at Credit Suisse Asset Management (Schweiz) AG.
He has over 13 years of investment experience ranging from rates relative value and arbitrage to the management of large global fixed income absolute return portfolios.
He has been lead portfolio manager of the multibillion absolute return products at Vontobel Asset Management since 2009.
Prior to joining Vontobel, he co-founded Old Brompton Capital Management, a start-up alternative asset manager specializing in fixed income macro relative value investments.
From 2004 to 2006, he worked at Concordia Advisors, a multi-strategy hedge fund, as a fixed income trader specialized in directional rates strategies.
Previously, he was a fixed income trader at CATAM Asset Management, managing a rate relative value overlay across different VaR products.
He received his degree (magna cum laude) in Financial Economics from Bocconi University in Milan and a master’s degree in Applied Mathematics from Imperial College London.
Anciens postes connus de Massimiliano Gnesi
| Sociétés | Poste | Fin |
|---|---|---|
Credit Suisse Asset Management (Schweiz) AG
Credit Suisse Asset Management (Schweiz) AG Investment ManagersFinance CSAM Schweiz is an active manager which invests in equities and fixed-income across sectors and market-caps. | Portfolio Manager-Fixed Income | 01/07/2019 |
Harcourt Investment Consulting AG
Harcourt Investment Consulting AG Investment ManagersFinance Harcourt structures their portfolios following a thorough assessment of their clients' needs. They seek to understand long-term return expectations, risk tolerance, transparency requirements in addition to legal and regulatory restrictions. They are active investment managers. Harcourt employs a top-down strategy allocation and portfolio management processes in managing hedge fund portfolios. Their proprietary optimization investment approach is quantitative with a qualitative overlay. Their process evaluates risk and returns expectations of hedge fund strategies and incorporates strategic risk factors such as valuation and liquidity risks. Harcourt's risk management process commences before they initiate an investment. They apply their due diligence process to the prospective manager and fund selection. After selection, the hedge funds undergo monitoring with reviews of portfolios, NAVs, and risk exposures. | Portfolio Manager-Fixed Income | 01/12/2013 |
Vontobel Asset Management AG
Vontobel Asset Management AG Investment ManagersFinance Vontobel AM is an active asset manager with global reach and a multi-boutique approach. | Portfolio Manager-Fixed Income | - |
Expériences
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Sociétés liées
| Entreprise privées | 3 |
|---|---|
Vontobel Asset Management AG
Vontobel Asset Management AG Investment ManagersFinance Vontobel AM is an active asset manager with global reach and a multi-boutique approach. | Finance |
Harcourt Investment Consulting AG
Harcourt Investment Consulting AG Investment ManagersFinance Harcourt structures their portfolios following a thorough assessment of their clients' needs. They seek to understand long-term return expectations, risk tolerance, transparency requirements in addition to legal and regulatory restrictions. They are active investment managers. Harcourt employs a top-down strategy allocation and portfolio management processes in managing hedge fund portfolios. Their proprietary optimization investment approach is quantitative with a qualitative overlay. Their process evaluates risk and returns expectations of hedge fund strategies and incorporates strategic risk factors such as valuation and liquidity risks. Harcourt's risk management process commences before they initiate an investment. They apply their due diligence process to the prospective manager and fund selection. After selection, the hedge funds undergo monitoring with reviews of portfolios, NAVs, and risk exposures. | Finance |
Credit Suisse Asset Management (Schweiz) AG
Credit Suisse Asset Management (Schweiz) AG Investment ManagersFinance CSAM Schweiz is an active manager which invests in equities and fixed-income across sectors and market-caps. | Finance |
















