Perfil
Mr. Philipp Murer is the Head of Portfolio Management at Reichmuth & Co. and Reichmuth & Co. Investment Management AG.
Mr. Murer was previously employed as Head of Market Segment of Asset Clients by Nidwaldner Kantonalbank, Stans (2010-2011), and Client Relationship Manager by Reichmuth & Co in Lucerne (2001-2010).
Before this, he served as Deputy Branch Officer at Nidwaldner Kantonalbank, Buochs (1998-2000), and Private Client Advisor at Nidwaldner Kantonalbank, Stans (1995-1998).
Cargos activos de Philipp Murer
| Empresas | Cargo | Inicio |
|---|---|---|
Reichmuth & Co.
Reichmuth & Co. Investment ManagersFinance Reichmuth is an active, conservative manager which follows a medium- to long-term, value-driven, noncyclical investment style aiming to achieve absolute returns. The firm's absolute approach to investment returns enables them to implement a future-orientated investment strategy. They base their approach on fundamental market analysis and pay close attention to short-term factors such as money flows and market sentiment. For less familiar markets, they rely on specialists. | Head-Equity Investments | 01/01/2011 |
Reichmuth & Co. Investment Management AG
Reichmuth & Co. Investment Management AG Investment ManagersFinance Reichmuth & Co. Investment Management is an active manager which aims to achieve real preservation of assets over generations. Their scenarios are based on a detailed market analysis with a focus on fundamental data and valuations. | Director of Investments | 01/01/2011 |
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Relaciones de 1er grado
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Empresas relacionadas
| Empresas privadas | 2 |
|---|---|
Reichmuth & Co. Investment Management AG
Reichmuth & Co. Investment Management AG Investment ManagersFinance Reichmuth & Co. Investment Management is an active manager which aims to achieve real preservation of assets over generations. Their scenarios are based on a detailed market analysis with a focus on fundamental data and valuations. | Finance |
Reichmuth & Co.
Reichmuth & Co. Investment ManagersFinance Reichmuth is an active, conservative manager which follows a medium- to long-term, value-driven, noncyclical investment style aiming to achieve absolute returns. The firm's absolute approach to investment returns enables them to implement a future-orientated investment strategy. They base their approach on fundamental market analysis and pay close attention to short-term factors such as money flows and market sentiment. For less familiar markets, they rely on specialists. | Finance |
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