Profil
Mr. Andre D.
Vollmann is a Senior Portfolio Manager at Cairn Capital Ltd.
He joined Cairn in 2005 with responsibility for asset-backed securities.
Prior to this, he spent over four years as a Credit Analyst in Standard & Poor&'s Structured Finance Group where he was involved in the rating analysis of several asset-backed securities transactions and covered a variety of asset classes including European consumer ABS, RMBS, CDOs and whole business securitisations.
Ehemalige bekannte Positionen von Andre D. Vollmann
| Unternehmen | Position | Ende |
|---|---|---|
Polus Capital Management Ltd.
Polus Capital Management Ltd. Investment ManagersFinance Polus is an active manager which specializes in alternative credit strategies. The firm seeks to generate long-term, sustainable value for their investors and invests responsibly to make the best investment decisions and ultimately, reduce risk. They invest in a flexible manner across the capital structure and liquidity spectrum using a relative value framework grounded in intensive fundamental credit analysis with a strong emphasis on capital preservation. Their unconstrained investment philosophy combined with robust risk management has enabled them to navigate multiple market cycles as long-term stewards of capital. | Portfolio Manager-Fixed Income | 01.06.2012 |
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Beziehungen
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Unternehmen ersten Grades
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Unternehmensverbindungen
| Private Unternehmen | 1 |
|---|---|
Polus Capital Management Ltd.
Polus Capital Management Ltd. Investment ManagersFinance Polus is an active manager which specializes in alternative credit strategies. The firm seeks to generate long-term, sustainable value for their investors and invests responsibly to make the best investment decisions and ultimately, reduce risk. They invest in a flexible manner across the capital structure and liquidity spectrum using a relative value framework grounded in intensive fundamental credit analysis with a strong emphasis on capital preservation. Their unconstrained investment philosophy combined with robust risk management has enabled them to navigate multiple market cycles as long-term stewards of capital. | Finance |
















