Perfil
Jérôme Tremblay is a Portfolio Manager at Woodman Asset Management AG since 2018.
He graduated from Université de Neuchâtel in 2013 and completed his undergraduate degree at Université Laval in 2006.
Cargos activos de Jérôme Tremblay
| Empresas | Cargo | Inicio |
|---|---|---|
Woodman Asset Management AG
Woodman Asset Management AG Investment ManagersFinance Woodman manages discretionary strategies in equity, fixed income and multi assets via existing funds and bespoke mandates. The firm believes that active management of investments is the primary driver of attractive long-term performance. For Equities, they pursue a disciplined, bottom-up investment process to ensure consistency and accountability. For Fixed Income, Woodman delivers strong outperformance relative to peer group and benchmark indices based on rigorous bottom-up analysis on individual companies and a robust investment process. For Multi-Asset, they use a thematic, actively managed and diversified strategy that is unconstrained and asset class agnostic. | Gestor de Cartera-Acciones | 01/02/2018 |
Formación de Jérôme Tremblay.
Experiencias
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Activas
Inactivas
Empresas cotizadas
Empresas privadas
Relaciones
Relaciones de 1er grado
Empresas vinculadas al 1er grado
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Empresas relacionadas
| Empresas privadas | 3 |
|---|---|
Université de Neuchâtel
Université de Neuchâtel Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Université Laval
Université Laval Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Woodman Asset Management AG
Woodman Asset Management AG Investment ManagersFinance Woodman manages discretionary strategies in equity, fixed income and multi assets via existing funds and bespoke mandates. The firm believes that active management of investments is the primary driver of attractive long-term performance. For Equities, they pursue a disciplined, bottom-up investment process to ensure consistency and accountability. For Fixed Income, Woodman delivers strong outperformance relative to peer group and benchmark indices based on rigorous bottom-up analysis on individual companies and a robust investment process. For Multi-Asset, they use a thematic, actively managed and diversified strategy that is unconstrained and asset class agnostic. | Finance |
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