Profil
Mr. Thomas Ayache is an Open Architecture Portfolio Manager at Rothschild & Co. Asset Management SCS.
Mr. Ayache started his career at Indosuez Private Banking in 1999.
Starting as Head of Market Risk, he later became Portfolio Manager & Analyst in the multi-management team in 2002, while also co-managing growth and value European Equity funds.
He holds a Msc in Financial Engineering from Paris XII University (1999).
Postes actifs de Thomas Ayache
| 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. | Gestionnaire de Portefeuille-Actions | 01/01/2005 |
Anciens postes connus de Thomas Ayache
| Sociétés | Poste | Fin |
|---|---|---|
Rothschild HDF Investment Solutions SA
Rothschild HDF Investment Solutions SA Investment ManagersFinance Rothschild HDF Investment Solutions is an active manager which offers a diversified fund of funds range across alternative investment strategies and an equity fund range across long/only and absolute return strategies. The firm has thematically diversified funds including absolute return funds, alternative multi-strategy funds, funds of one (single manager), hybrid or thematic funds. They perform regular in-house fundamental research, including interviews with company managers, aiming to understand their investment objectives and focusing on risk, constraints and liabilities. They employ top-down and bottom-up approaches, open-architecture asset allocation and quantitative modeling and incorporate risk management into every step of the investment process. | Gestionnaire de Portefeuille-Actions | - |
Rothschild & Cie Gestion SCS
Rothschild & Cie Gestion SCS Investment ManagersFinance Rothschild & Cie Gestion utilizes active, passive and multi-manager strategies to invest across geographic regions in a range of instruments including equities, fixed-income, alternatives, currency and convertibles. The firm utilizes a blended, unbiased style to manage equities. Their structured investment process combines top-down and bottom-up approaches to allocate sectors and geographies and to select stocks, respectively. They perform fundamental qualitative analysis and focus on managing European values through their mutual fund range and US large-caps. Rothschild & Cie Gestion's index (passive) management seeks to replicate the performance of a market index and is based on pure replication (buying all the securities that comprise the index and their respective weightings) and synthetic replication (constructing a portfolio of money market instruments (certificates of deposit, treasury , pensions against Treasury bills). Meanwhile, the fund buys (or sells) futures contracts on the index to replicate. Multi-management is based on a quantitative and qualitative selection of underlying funds to control risk and maximize performance through diversification. A dedicated team selects funds, manages funds of funds and monitors managers. | Gestionnaire de Portefeuille-Actions | - |
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 |
|---|---|
Rothschild & Cie Gestion SCS
Rothschild & Cie Gestion SCS Investment ManagersFinance Rothschild & Cie Gestion utilizes active, passive and multi-manager strategies to invest across geographic regions in a range of instruments including equities, fixed-income, alternatives, currency and convertibles. The firm utilizes a blended, unbiased style to manage equities. Their structured investment process combines top-down and bottom-up approaches to allocate sectors and geographies and to select stocks, respectively. They perform fundamental qualitative analysis and focus on managing European values through their mutual fund range and US large-caps. Rothschild & Cie Gestion's index (passive) management seeks to replicate the performance of a market index and is based on pure replication (buying all the securities that comprise the index and their respective weightings) and synthetic replication (constructing a portfolio of money market instruments (certificates of deposit, treasury , pensions against Treasury bills). Meanwhile, the fund buys (or sells) futures contracts on the index to replicate. Multi-management is based on a quantitative and qualitative selection of underlying funds to control risk and maximize performance through diversification. A dedicated team selects funds, manages funds of funds and monitors managers. | Finance |
Rothschild HDF Investment Solutions SA
Rothschild HDF Investment Solutions SA Investment ManagersFinance Rothschild HDF Investment Solutions is an active manager which offers a diversified fund of funds range across alternative investment strategies and an equity fund range across long/only and absolute return strategies. The firm has thematically diversified funds including absolute return funds, alternative multi-strategy funds, funds of one (single manager), hybrid or thematic funds. They perform regular in-house fundamental research, including interviews with company managers, aiming to understand their investment objectives and focusing on risk, constraints and liabilities. They employ top-down and bottom-up approaches, open-architecture asset allocation and quantitative modeling and incorporate risk management into every step of the investment process. | 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 |
















