Profil
Ms. Monica Zani, CFA, is a Head of European Fixed Income & Director at Allianz Global Investors GmbH.
Ms. Zani was previously employed as a Portfolio Manager by Allianz Global Investors Italia SGR SpA.
Postes actifs de Monica Zani
| Sociétés | Poste | Début |
|---|---|---|
Allianz Global Investors GmbH (France)
Allianz Global Investors GmbH (France) Investment ManagersFinance AllianzGI-FR is an active, diversified manager with a medium- to long-term outlook and focus on French, European and Eurozone investments. Their range of active solutions includes stocks, bonds, multi-asset strategies and alternative strategies which are based on global and local market analysis. The firm specializes in European growth stocks and primarily follows a bottom-up approach with an emphasis on stock-picking. Their investment decisions are based on in-house fundamental research, a team-based asset allocation strategy and a structured approach to portfolio construction. AllianzGI-FR’s fund selection process uses a combination of quantitative and fundamental analysis. | Head-Fixed Income Invts | 01/09/2013 |
Anciens postes connus de Monica Zani
| Sociétés | Poste | Fin |
|---|---|---|
Allianz Global Investors Italia SGR SpA
Allianz Global Investors Italia SGR SpA Investment ManagersFinance AGI-IT is an active GARP-oriented investor managing portfolios invested primarily in equity and fixed-income. Asset allocation, based on macroeconomic, fundamental and qualitative analysis, is an essential component of the firm's investment approach and helps them determine which financial instruments to use and in which geographical regions to invest. AGI-IT bases equity investments on a bottom-up approach and fundamental analysis. The firm has a comprehensive company valuation program, which assesses elements such as market positioning, interest rates, ability to create wealth, financial situation and management quality. AGI-IT follows a top-down approach for fixed-income investments, and bases flexible investments, which combine equity and fixed-income investments, on a quantitative analysis process developed in-house. The firm has also developed a proprietary risk management tool, which is designed to forecast risk in financial markets and in the portfolios they manage. | Portfolio Manager-Fixed Income | - |
Expériences
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Sociétés cotées
Entreprise privées
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Relations au 1er degré
Entreprises liées au 1er degré
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Sociétés liées
| Entreprise privées | 2 |
|---|---|
Allianz Global Investors GmbH (France)
Allianz Global Investors GmbH (France) Investment ManagersFinance AllianzGI-FR is an active, diversified manager with a medium- to long-term outlook and focus on French, European and Eurozone investments. Their range of active solutions includes stocks, bonds, multi-asset strategies and alternative strategies which are based on global and local market analysis. The firm specializes in European growth stocks and primarily follows a bottom-up approach with an emphasis on stock-picking. Their investment decisions are based on in-house fundamental research, a team-based asset allocation strategy and a structured approach to portfolio construction. AllianzGI-FR’s fund selection process uses a combination of quantitative and fundamental analysis. | Finance |
Allianz Global Investors Italia SGR SpA
Allianz Global Investors Italia SGR SpA Investment ManagersFinance AGI-IT is an active GARP-oriented investor managing portfolios invested primarily in equity and fixed-income. Asset allocation, based on macroeconomic, fundamental and qualitative analysis, is an essential component of the firm's investment approach and helps them determine which financial instruments to use and in which geographical regions to invest. AGI-IT bases equity investments on a bottom-up approach and fundamental analysis. The firm has a comprehensive company valuation program, which assesses elements such as market positioning, interest rates, ability to create wealth, financial situation and management quality. AGI-IT follows a top-down approach for fixed-income investments, and bases flexible investments, which combine equity and fixed-income investments, on a quantitative analysis process developed in-house. The firm has also developed a proprietary risk management tool, which is designed to forecast risk in financial markets and in the portfolios they manage. | Finance |
















