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Kamran Ghalitschi
Kamran Ghalitschi
Kamran has been working in the financial industry since 1994 and has specialized on client relations and marketing. Having worked with retail clients in asset management and brokerage the first ten years of his career for major European banks, he joined a CTA / Managed Futures fund with 1,5 Billion USD under management where he was responsible for sales, client relations and operations in the BeNeLux and Nordic countries. Kamran joined a multi-family office managing their own fund of hedgefunds with 400 million USD AuM in 2009. Kamran has worked and lived in Vienna, Frankfurt, Amsterdam and Stockholm. Born in 1974, Kamran today again lives in Vienna, Austria.

Report: Alternative Fixed Income

Harnessing (Solvency II) Expertise and Scale in Alternative Fixed Income

The finance industry is filled with terms that lack universally agreed definitions, and “alternative fixed income” is one such term. What does this term...

Opportunities Amid Complexity in European Special Situations

Most managers in both the public and private credit markets share a common goal: to steer clear of difficult and distressed lending situations. However,...

A Growing Asset Class for Icelandic Investors

The size of the Icelandic pension funds, relative to GDP, is now larger than the combained market value of the country’s banks and insurers,...

Breaking Free from UCITS: Sissener’s New Credit Fund Embraces Flexibility

Philippe Sissener and his team at Sissener AS have successfully managed a high-yield UCITS fund for over five years. Seeing the additional potential for...

Private Credit: “A Natural Part of Our Portfolio”

Alternative investments such as private equity and private credit have become core components of institutional portfolios, offering a significant source of diversification and the...

High Yield: Resilience Amid a Shifting Backdrop 

By Scott Roth and Chris Sawyer, Barings: High yield remains well-positioned against a macro backdrop that gives us both reasons for confidence and concern. On the confidence side, market worries...

Active and Opportunistic Beats the Monkey in High-Yield

Private credit has grown rapidly as an asset class in recent years, attracting significant interest and scrutiny from investors of all sizes. While the...

Gard’s Playbook for Short-Duration Fixed-Income Investing

Different asset allocators often have varying objectives that shape their investment allocation decisions. For instance, institutional investors such as protection and indemnity (P&I) insurance...

In-Depth: Megatrends and Thematic Investing

HedgeNordic is running an In-Depth series exploring trends, megatrends, and thematic investing in a broader context. This series will spotlight some of the most significant global megatrends, such as defense investments, climate change and its impact on real assets, the rising energy demand driven by increasing AI usage, and sustainable thematic investing, among others. This series sheds light on the strategies, trends, and megatrends shaping the world of investing today and in the future.

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NB’s Credit Selection: The Key to Outperformance in European High Yield

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Nordic Fund Boutiques Building Strength Through Consolidation

The Nordic asset management industry is experiencing an accelerating wave of consolidation, particularly among boutique firms, including those with roots in the hedge fund...

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Timing a hedge fund launch is never easy and getting it right can be make-or-break for long-term success. French-Danish duo Alexis Dubois and Victor...

Ex-Velliv PM Joins Lærernes Pension

After Danish pension provider Velliv dismissed its entire alternatives team earlier this year as part of a broader strategic shift towards passive strategies, its...
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