Profil
Nathalie Olivia Dantès is currently Senior Portfolio Manager at Bank Julius Bär & Co. AG since 2023.
Formerly, Ms. Dantès was Head of Single Security Research Credit at Credit Suisse AG (Private Banking) from 2019 to 2023 and Research Analyst at Ares Management Ltd. from 2011 to 2012.
Postes actifs de Nathalie Olivia Dantès
| Sociétés | Poste | Début |
|---|---|---|
Bank Julius Bär & Co. AG
Bank Julius Bär & Co. AG Investment ManagersFinance BJB’s investment approach is founded on a four-step investment process through which they aim to manage risk and returns in a systematic way. | Portfolio Manager-Fixed Income | 01/12/2023 |
Anciens postes connus de Nathalie Olivia Dantès
| Sociétés | Poste | Fin |
|---|---|---|
Credit Suisse AG (Private Banking)
Credit Suisse AG (Private Banking) Investment ManagersFinance CSPB is an active manager which performs in-house research. The firm's Investment Committee defines the investment strategy. In addition, based on the economic and financial analyses carried out by Credit Suisse Investment Research, the Investment Committee decides on the weighting of investment assets in the individual investment vehicles including money markets, bonds, equities, alternative investments, commodities and cash. The firm's Investment Committee also decides on short and medium-term trading options in a three to six-month horizon. The investment policy is monitored continuously at the Investment Committee's weekly meetings. | Analyst-Fixed Income | 01/07/2019 |
Ares Management Ltd.
Ares Management Ltd. Investment ManagersFinance Ares Management aims to deliver strong risk-adjusted investment returns through market cycles while minimizing downside risk. The firm employs a disciplined, credit-oriented investment philosophy and is managed by a seasoned leadership team of senior professionals with extensive experience investing in, advising, underwriting, and restructuring companies, power and energy assets, or real estate properties. They capitalize on opportunities across traded and non-traded corporate, consumer and real estate debt across the US and European markets. Ares Management takes a value-oriented approach, using fundamental, bottom-up research to identify attractive relative values compared to fundamental credit risk. | Analyst-Fixed Income | 01/07/2012 |
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Sociétés liées
| Entreprise privées | 3 |
|---|---|
Bank Julius Bär & Co. AG
Bank Julius Bär & Co. AG Investment ManagersFinance BJB’s investment approach is founded on a four-step investment process through which they aim to manage risk and returns in a systematic way. | Finance |
Credit Suisse AG (Private Banking)
Credit Suisse AG (Private Banking) Investment ManagersFinance CSPB is an active manager which performs in-house research. The firm's Investment Committee defines the investment strategy. In addition, based on the economic and financial analyses carried out by Credit Suisse Investment Research, the Investment Committee decides on the weighting of investment assets in the individual investment vehicles including money markets, bonds, equities, alternative investments, commodities and cash. The firm's Investment Committee also decides on short and medium-term trading options in a three to six-month horizon. The investment policy is monitored continuously at the Investment Committee's weekly meetings. | Finance |
Ares Management Ltd.
Ares Management Ltd. Investment ManagersFinance Ares Management aims to deliver strong risk-adjusted investment returns through market cycles while minimizing downside risk. The firm employs a disciplined, credit-oriented investment philosophy and is managed by a seasoned leadership team of senior professionals with extensive experience investing in, advising, underwriting, and restructuring companies, power and energy assets, or real estate properties. They capitalize on opportunities across traded and non-traded corporate, consumer and real estate debt across the US and European markets. Ares Management takes a value-oriented approach, using fundamental, bottom-up research to identify attractive relative values compared to fundamental credit risk. | Finance |
















