Profil
Valérie Cecchini-Salmon is a Vice President & Portfolio Manager at Investors Group, Inc. since 2012.
She was a Vice President & Portfolio Manager at Mackenzie Financial Corp.
from 2017 to 2019 and at I.
G.
Investment Management Ltd. from 2011 to 2017.
She was also a Vice President at Standard Life Investments, Inc. (Canada).
Ms. Cecchini-Salmon received a graduate degree from the University of Montréal in 1992 and an undergraduate degree from the University of Quebec in 1990.
Postes actifs de Valérie Cecchini-Salmon
| Sociétés | Poste | Début |
|---|---|---|
Investors Group, Inc.
Investors Group, Inc. Investment ManagersFinance Provides financial planning services | Gestionnaire de Portefeuille-Actions | 01/01/2012 |
Anciens postes connus de Valérie Cecchini-Salmon
| Sociétés | Poste | Fin |
|---|---|---|
Mackenzie Financial Corp.
Mackenzie Financial Corp. Investment ManagersFinance Mackenzie Investments uses different methods of analysis depending on the account's mandate including fundamental analysis, technical analysis, cyclical investing and charting. They offer a wide range of investment strategies including Canadian and global growth and value strategies across all market-caps, a Canadian Bond strategy, a North American large-cap growth strategy, Canadian balanced large-cap, large-cap growth and all-cap value strategies, and Canadian and global resources strategies. The majority of their US and non-North American equity investments are run by outside money managers. | Gestionnaire de Portefeuille-Actions | 01/12/2019 |
I. G. Investment Management Ltd.
I. G. Investment Management Ltd. Investment ManagersFinance IGIM employs active asset management that offers the right mix of fixed income, balanced, and Canadian, US and international equity mutual funds. | Gestionnaire de Portefeuille-Actions | 01/10/2017 |
Standard Life Investments, Inc. (Canada)
Standard Life Investments, Inc. (Canada) Investment ManagersFinance Standard Life Investment Canada's (SLIC) investment process combines asset allocation, stock selection, portfolio construction, risk management and trading. Their research is based process seeks the early identification of changes in the key drivers that affect markets and the factors that are likely to cause shifts in the investment environment. SLIC's process is supplemented by analysis of the key drivers of the p[rice and what expectations for these drivers are currently priced in the investment. The firm then considers what is changing and whether these changes will lead to revised market expectations and a revised share price. The firm's Asset Mix Strategy Committee sets the overall investment strategy for their balanced mandates. The Committee examines broad economic, fundamental, technical, quantitative market and industry data to ensure that portfolios are appropriately structured. The recommended asset mix is based on a 12 to 18 month outlook. SLIC's portfolio management team is responsible for the implementation of the asset mix strategy. The firm manages a variety of portfolios with different styles, objectives and constraints. Portfolio construction responsibilities are allocated to a number of equity portfolio teams covering core, small cap-focused and income portfolios. SLIC's fixed-income investment approach is based on interest rate anticipation and is enhanced by active trading that seeks to exploit anomalies in the valuation of individual issues or market sectors. Investments are of high-quality and liquidity, so that the portfolio can be restructured as expectations and relative values change. | Analyst-Equity | 06/09/2011 |
Formation de Valérie Cecchini-Salmon
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 | 6 |
|---|---|
Mackenzie Financial Corp.
Mackenzie Financial Corp. Investment ManagersFinance Mackenzie Investments uses different methods of analysis depending on the account's mandate including fundamental analysis, technical analysis, cyclical investing and charting. They offer a wide range of investment strategies including Canadian and global growth and value strategies across all market-caps, a Canadian Bond strategy, a North American large-cap growth strategy, Canadian balanced large-cap, large-cap growth and all-cap value strategies, and Canadian and global resources strategies. The majority of their US and non-North American equity investments are run by outside money managers. | Finance |
I. G. Investment Management Ltd.
I. G. Investment Management Ltd. Investment ManagersFinance IGIM employs active asset management that offers the right mix of fixed income, balanced, and Canadian, US and international equity mutual funds. | Finance |
Standard Life Investments, Inc. (Canada)
Standard Life Investments, Inc. (Canada) Investment ManagersFinance Standard Life Investment Canada's (SLIC) investment process combines asset allocation, stock selection, portfolio construction, risk management and trading. Their research is based process seeks the early identification of changes in the key drivers that affect markets and the factors that are likely to cause shifts in the investment environment. SLIC's process is supplemented by analysis of the key drivers of the p[rice and what expectations for these drivers are currently priced in the investment. The firm then considers what is changing and whether these changes will lead to revised market expectations and a revised share price. The firm's Asset Mix Strategy Committee sets the overall investment strategy for their balanced mandates. The Committee examines broad economic, fundamental, technical, quantitative market and industry data to ensure that portfolios are appropriately structured. The recommended asset mix is based on a 12 to 18 month outlook. SLIC's portfolio management team is responsible for the implementation of the asset mix strategy. The firm manages a variety of portfolios with different styles, objectives and constraints. Portfolio construction responsibilities are allocated to a number of equity portfolio teams covering core, small cap-focused and income portfolios. SLIC's fixed-income investment approach is based on interest rate anticipation and is enhanced by active trading that seeks to exploit anomalies in the valuation of individual issues or market sectors. Investments are of high-quality and liquidity, so that the portfolio can be restructured as expectations and relative values change. | Finance |
University of Montréal
University of Montréal Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
University of Quebec
University of Quebec Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Investors Group, Inc.
Investors Group, Inc. Investment ManagersFinance Provides financial planning services | Finance |
















