Profil
Mr. Michaël Longeard is a Fixed Income Portfolio Manager at Rothschild & Co. Asset Management SCS.
He has over 18 years of experience in High Yield and Convertible Bonds.
Mr. Longeard was previously employed as a Credit Portfolio Manager by Ellipsis Asset Management SA and a Portfolio Manager by OFI Asset Management SA.
Postes actifs de Michaël Longeard
| Sociétés | Poste | Début |
|---|---|---|
Rothschild & Co. Asset Management SCS
Rothschild & Co. Asset Management SCS Investment ManagersFinance Rothschild & Co. AM is a global, multi-specialist, conviction-based, long-term manager who offers bespoke investment management and advisory services aiming to outperform the indexes with a controlled level of risk. Their range of single and multi-asset class solutions includes equity, fixed income and commodities. They seek to preserve capital through diversification across strategies and by carefully selecting the best fund managers. | Portfolio Manager-Fixed Income | 01/01/2023 |
Anciens postes connus de Michaël Longeard
| Sociétés | Poste | Fin |
|---|---|---|
Ellipsis Asset Management SA
Ellipsis Asset Management SA Investment ManagersFinance Ellipsis AM focuses its expertise on value-added asset classes through two specialized management divisions. (1) The Convertibles & Credit division, which houses their historical and confirmed management expertise. It primarily offers active management of convictions, based on demanding discretionary selection processes. The team therefore favors a strict bottom-up approach in fundamental, financial and ESG analysis. (2) the Overlay & Customized Portfolio Solutions division has developed specific know-how for equity portfolio hedging solutions and risk allocation. This expertise in options equity overlay favors a top-down approach, with a priority on quantitative processes enriched with a discretionary approach. | Analyst-Fixed Income | 01/01/2023 |
OFI Invest Asset Management SA
OFI Invest Asset Management SA Investment ManagersFinance OFI AM specializes in traditional/fundamental and alternative management strategies based on single- or multi-manager structures with a view to stable and continuous alpha generation. The firm actively manages benchmark-insensitive portfolios that invest in equity, fixed-income, real estate, private equity and alternative instruments across strategies, regions, sectors and market caps with the bulk of their investments in French and European securities. They rely on external partners for equity investments in the US, Japan, international and emerging markets as well as for Japanese convertible bonds and East European rates. | Portfolio Manager-Fixed Income | 01/05/2013 |
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 |
|---|---|
OFI Invest Asset Management SA
OFI Invest Asset Management SA Investment ManagersFinance OFI AM specializes in traditional/fundamental and alternative management strategies based on single- or multi-manager structures with a view to stable and continuous alpha generation. The firm actively manages benchmark-insensitive portfolios that invest in equity, fixed-income, real estate, private equity and alternative instruments across strategies, regions, sectors and market caps with the bulk of their investments in French and European securities. They rely on external partners for equity investments in the US, Japan, international and emerging markets as well as for Japanese convertible bonds and East European rates. | Finance |
Ellipsis Asset Management SA
Ellipsis Asset Management SA Investment ManagersFinance Ellipsis AM focuses its expertise on value-added asset classes through two specialized management divisions. (1) The Convertibles & Credit division, which houses their historical and confirmed management expertise. It primarily offers active management of convictions, based on demanding discretionary selection processes. The team therefore favors a strict bottom-up approach in fundamental, financial and ESG analysis. (2) the Overlay & Customized Portfolio Solutions division has developed specific know-how for equity portfolio hedging solutions and risk allocation. This expertise in options equity overlay favors a top-down approach, with a priority on quantitative processes enriched with a discretionary approach. | Finance |
Rothschild & Co. Asset Management SCS
Rothschild & Co. Asset Management SCS Investment ManagersFinance Rothschild & Co. AM is a global, multi-specialist, conviction-based, long-term manager who offers bespoke investment management and advisory services aiming to outperform the indexes with a controlled level of risk. Their range of single and multi-asset class solutions includes equity, fixed income and commodities. They seek to preserve capital through diversification across strategies and by carefully selecting the best fund managers. | Finance |
















