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Name | Title | Since | Until |
---|---|---|---|
Lukas Haas | - | 2015 | 2018 |
Biography | Lukas Haas, joined Credit Suisse in 2012 as a portfolio manager Fixed Income and Money Market. Prior to joining Credit Suisse Asset Management, Lukas was at Clariden Leu Asset Management, where he was managing Money Market and Floating Rate Strategy funds. Furthermore he was responsible for credit analysis for financials. Previously he spent nine years at Credit Suisse in various roles and locations, ultimately as an investment consultant for High Net Worth Individuals. Lukas holds a Master of Science (MSc) in Business and Economics from the University of Basel and is a CFA charterholder. | ||
Romeo Sakac | Director | 2012 | 2015 |
Biography | Romeo Sakac, Director, is a senior fixed income portfolio manager and the lead portfolio manager of the fixed income corporate short duration strategies. He also is a member of the Global Credit Group. Romeo joined Credit Suisse Asset Management in 2012 from Clariden Leu Asset Management. He was head of Liquidity Solutions at Clariden Leu , where he was responsible for the Money Market, Floating Rate Strategy and the Short-term Bond Funds. Romeo began his career at Clariden Leu Asset Management (formerly Clariden Bank) in 1998 as a Risk Manager in the Risk Management department, responsible for equity and hedge funds. Romeo holds a Federal VET Diploma in commerce. In 2003 he got a certificate of Advanced Studies (CAS) in Financial Mathematics and Statistics from Lucerne University of Applied Sciences and Arts (Switzerland). | ||
Luc Mathys | - | 2011 | 2012 |
Biography | Luc Mathys joined Credit Suisse in December 2007 as head of global rates and credit within MACS Fixed Income. Prior he was responsible for the money market and global fixed in-come products within the fixed income group of Clariden Leu and managed several invest-ment funds. Previously he spent two years at Bank Hofmann in the fixed income research and fund management department where he was responsible for managing bond funds and for research and distribution of structured investment products. Prior he worked in various roles and locations for UBS, ultimately as fixed income and currency fund manager at UBS Global Asset Management. Luc Mathys studied economics, focusing on financial market theory and econometrics, at the University of Bern. In 2003 he successfully qualified as a Chartered Financial Analyst (CFA), and then as a Financial Risk Manager (FRM). |
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