Profil
Mr. Christian Heger is Member-Management Board & Chief Investment Officer at HSBC Global Asset Management (Deutschland) GmbH.
He joined HSBC Global Asset Management (Germany) in 1989.
He achieved the post of Managing Director and was appointed Chief Investment Officer in 2001.
He was appointed Head of Portfolio Management Equities in 1997.
Prior to HSBC Global Asset Management, he worked for about five years as a Financial Analyst at HSBC Trinkaus.
Mr. Heger graduated with a degree in Business Administration from the University of Cologne.
Ehemalige bekannte Positionen von Christian Heger
| Unternehmen | Position | Ende |
|---|---|---|
HSBC Global Asset Management (Deutschland) GmbH
HSBC Global Asset Management (Deutschland) GmbH Investment ManagersFinance HSBC-GAM-DE is an active manager which specializes in German mid-caps as well as in European and eastern emerging markets equity. In terms of fixed-income, they focus on European government bonds and global bonds. They also invest in money-market instruments. They rely on the expertise of their sister companies for investments in other regions and asset classes. The firm's investment approach blends top-down and bottom-up processes based on proprietary fundamental research conducted by their global research teams. They aim to identify sectors and companies with strong market positions, management and technical expertise, which have the potential to outperform the global market. Investment decisions are team-based. | Direktor der Forschung - Eigenkapital | 31.12.2018 |
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Unternehmensverbindungen
| Private Unternehmen | 1 |
|---|---|
HSBC Global Asset Management (Deutschland) GmbH
HSBC Global Asset Management (Deutschland) GmbH Investment ManagersFinance HSBC-GAM-DE is an active manager which specializes in German mid-caps as well as in European and eastern emerging markets equity. In terms of fixed-income, they focus on European government bonds and global bonds. They also invest in money-market instruments. They rely on the expertise of their sister companies for investments in other regions and asset classes. The firm's investment approach blends top-down and bottom-up processes based on proprietary fundamental research conducted by their global research teams. They aim to identify sectors and companies with strong market positions, management and technical expertise, which have the potential to outperform the global market. Investment decisions are team-based. | Finance |
















