Profil
Nikou Ghalebegui worked as a Principal at CIBC World Markets, Inc. and Ontario Teachers' Pension Plan Board.
They also served as a Vice President of Fixed Income Research at ONEX Canada Asset Management, Inc. from 2014 to 2023.
Prior to that, Nikou worked as an Analyst at Sceptre Investment Counsel Ltd. from 2008 to 2010 and as a Vice President at Blair Franklin Asset Management, Inc. from 2010 to 2015.
Additionally, they worked as an Analyst at Fiera Capital Corp.
Ms. Ghalebegui obtained their undergraduate degree from McGill University in 2002.
Anciens postes connus de Nikou Ghalebegui
| Sociétés | Poste | Fin |
|---|---|---|
ONEX Canada Asset Management, Inc. (Investment Management)
ONEX Canada Asset Management, Inc. (Investment Management) Investment ManagersFinance OCAM-IM seeks to preserve clients' capital, manage risk and deliver outstanding long-term investment returns through varying economic and market cycles. The firm focuses on generating strong absolute, rather than relative, investment returns. They employ bottom-up security selection based on fundamental analysis and in-depth research, coupled with their top-down macroeconomic view. | Directeur de Recherche - Fxd Inc | 01/07/2023 |
Blair Franklin Asset Management, Inc.
Blair Franklin Asset Management, Inc. Investment ManagersFinance Blair Franklin Asset Management specializes in fixed income-focused alternative asset management services. The firm seeks to deliver positive absolute returns to clients through its two funds: the Blair Franklin Global Credit Fund LP and the Blair Franklin Global Rates LP. The funds employ relative value strategies that are not directly dependent on either the absolute level of interest rates or a rising/falling rate environment. The Blair Franklin Global Credit Fund generates returns through long and short exposure to credit spreads globally. Foreign exchange exposure and interest rate exposure are minimized. The fund’s investment universe is global corporate and government fixed income products. The Blair Franklin Global Rates Fund generates returns from interest rate changes in major global markets. Foreign exchange exposure is minimized. The fund’s investment universe is G20 government and agency bonds, futures and derivatives. Returns are not dependent on the absolute level of interest rates. | Analyst-Fixed Income | 01/01/2015 |
Sceptre Investment Counsel Ltd. (Investment Management)
Sceptre Investment Counsel Ltd. (Investment Management) Investment ManagersFinance Sceptre is a balanced and specialty fund manager that utilizes all the major asset classes as well as the critical asset mix decision to construct portfolios that provide clients with the best possible long-term investment performance commensurate with acceptable risk and a core-oriented approach. The firm incorporates a team-oriented approach to investing and uses a top-down process. In general, Sceptre invests in the stocks of Canadian small-cap and large-cap companies in the finance, energy minerals and non-energy minerals sectors. | Analyst-Fixed Income | 31/08/2010 |
Fiera Capital Corp. (Investment Management)
Fiera Capital Corp. (Investment Management) Investment ManagersFinance FCC-IM is an active, research-driven manager that offers a broad spectrum of investment strategies across asset classes, styles, and capitalization ranges. The firm provides extensive expertise in Canadian active and structured fixed-income, Canadian and foreign equity, asset allocation, and non-traditional investment solutions through a broad range of strategies and services. Independent bottom-up fundamental research is the cornerstone of their Canadian and foreign equity strategies, while rigorous top-down fundamental research, independent of sell-side analysis and of credit rating agencies, is the cornerstone of their actively managed fixed-income strategies, resulting in opinions that are independent of market views. | Analyst-Fixed Income | - |
Ontario Teachers' Pension Plan Board
Ontario Teachers' Pension Plan Board Investment ManagersFinance OTPPB is an active, global investor which seeks to achieve superior returns and manage related risks to ensure the long-term sustainability of the pension plan. With board oversight, the plan's management manages both the policy and asset mix together under their expanded OneTeachers' total-fund strategy. They invest strategically across key markets and sectors to deliver steady returns. | Corporate Officer/Principal | - |
Formation de Nikou Ghalebegui
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
Relations
Relations au 1er degré
Entreprises liées au 1er degré
Homme
Femme
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Sociétés liées
| Entreprise privées | 7 |
|---|---|
Ontario Teachers' Pension Plan Board
Ontario Teachers' Pension Plan Board Investment ManagersFinance OTPPB is an active, global investor which seeks to achieve superior returns and manage related risks to ensure the long-term sustainability of the pension plan. With board oversight, the plan's management manages both the policy and asset mix together under their expanded OneTeachers' total-fund strategy. They invest strategically across key markets and sectors to deliver steady returns. | Finance |
Sceptre Investment Counsel Ltd. (Investment Management)
Sceptre Investment Counsel Ltd. (Investment Management) Investment ManagersFinance Sceptre is a balanced and specialty fund manager that utilizes all the major asset classes as well as the critical asset mix decision to construct portfolios that provide clients with the best possible long-term investment performance commensurate with acceptable risk and a core-oriented approach. The firm incorporates a team-oriented approach to investing and uses a top-down process. In general, Sceptre invests in the stocks of Canadian small-cap and large-cap companies in the finance, energy minerals and non-energy minerals sectors. | Finance |
ONEX Canada Asset Management, Inc. (Investment Management)
ONEX Canada Asset Management, Inc. (Investment Management) Investment ManagersFinance OCAM-IM seeks to preserve clients' capital, manage risk and deliver outstanding long-term investment returns through varying economic and market cycles. The firm focuses on generating strong absolute, rather than relative, investment returns. They employ bottom-up security selection based on fundamental analysis and in-depth research, coupled with their top-down macroeconomic view. | Finance |
CIBC World Markets, Inc.
CIBC World Markets, Inc. Investment Banks/BrokersFinance Provides brokerage services | Finance |
McGill University
McGill University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Fiera Capital Corp. (Investment Management)
Fiera Capital Corp. (Investment Management) Investment ManagersFinance FCC-IM is an active, research-driven manager that offers a broad spectrum of investment strategies across asset classes, styles, and capitalization ranges. The firm provides extensive expertise in Canadian active and structured fixed-income, Canadian and foreign equity, asset allocation, and non-traditional investment solutions through a broad range of strategies and services. Independent bottom-up fundamental research is the cornerstone of their Canadian and foreign equity strategies, while rigorous top-down fundamental research, independent of sell-side analysis and of credit rating agencies, is the cornerstone of their actively managed fixed-income strategies, resulting in opinions that are independent of market views. | Finance |
Blair Franklin Asset Management, Inc.
Blair Franklin Asset Management, Inc. Investment ManagersFinance Blair Franklin Asset Management specializes in fixed income-focused alternative asset management services. The firm seeks to deliver positive absolute returns to clients through its two funds: the Blair Franklin Global Credit Fund LP and the Blair Franklin Global Rates LP. The funds employ relative value strategies that are not directly dependent on either the absolute level of interest rates or a rising/falling rate environment. The Blair Franklin Global Credit Fund generates returns through long and short exposure to credit spreads globally. Foreign exchange exposure and interest rate exposure are minimized. The fund’s investment universe is global corporate and government fixed income products. The Blair Franklin Global Rates Fund generates returns from interest rate changes in major global markets. Foreign exchange exposure is minimized. The fund’s investment universe is G20 government and agency bonds, futures and derivatives. Returns are not dependent on the absolute level of interest rates. | Finance |
















