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Multi-strategi hedgefonder – hur angriper man detta på det mest effektiva sättet?

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Stockholm (HedgeNordic.com) – Landskapet för hedgefonder har på ett revolutionerande sätt förändrats under de senaste åren, eller snarare så har hedgefondbranschen utvecklats sedan dess begynnelse, och likaså investerarna. Ett faktum är dock att både investerarna och förvaltarna fortsätter att utveckla branschen i linje med dagens rådande investeringsklimat och dess framtidsutsikter. Vi samlade några av Europas ledande hedgefonder och ledande nordiska investerare för ett levande rundabordssamtal rörande ämnet hur man kan skapa avkastning med hedgefonder genom att tillämpa en multi–strategi inriktning och hur denna exekveras på det mest effektiva sättet. Värd för evenemanget var Movestic Livförsäkring med André Havas som moderator av en diskussion som blev både dynamisk och intensiv mellan deltagarna som representerades av stora firmor såsom Man, UBP och Nordea men även av nischade specialistbolag representerade av Sector Asset Management , Coeli Asset Management och Return Advisors. Ålandsbanken ställde förvaltarna till sin spets med sin gedigna erfarenhet av att investera i hedgefonder. Som sig bör i en diskussion kring ett sofistikerat ämne som är levande materia så framställdes flera olika åsikter och insiktsfulla argument med den gemensamma nämnaren att både investerarsidan och förvaltarsidan fortfarande är bestämda kring uppfattningen att hedgefonder har, är och kommer vara en betydande bidragsgivande komponent i en tillgångsportfölj, hur man skall gå till väga kan du läsa om här.

En fullständig rapport gällande rundabordssamtalet kommer finnas tillgänglig på HedgeNordic under december månad.

 

Ari Björnsson, André Havas, Julia Axelsson, Kamran Ghalitschi, Thomas Lönnerstam, David Kingsley, Erik Lundkist, Yves Guntern, Jan Bo Jacobsen, Wollert Hvide,
Ari Björnsson, André Havas, Julia Axelsson, Kamran Ghalitschi, Thomas Lönnerstam, David Kingsley, Erik Lundkist, Yves Guntern, Jan Bo Jacobsen, Wollert Hvide,

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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.

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