Profil
Ge Guo worked as a Portfolio Manager at Union Investment Privatfonds GmbH and later at Harvest Fund Management Co., Ltd. from 2018 to 2021.
Ehemalige bekannte Positionen von Ge Guo
| Unternehmen | Position | Ende |
|---|---|---|
Harvest Fund Management Co., Ltd.
Harvest Fund Management Co., Ltd. Investment ManagersFinance HFM is an active, research-driven manager which constructs portfolio based on a combination of bottom-up and top-down fundamental research and quantitative analysis. They believe that the market is inefficient and that thorough analysis and active management can bring about excess returns. The firm has a strict quantitative risk control system for long-term, stable, and excellent performance. | Portfolio Manager-Fixed Income | 21.01.2021 |
Union Investment Privatfonds GmbH
Union Investment Privatfonds GmbH Investment ManagersFinance Union Investment is a fundamentally active asset manager that covers all asset classes worldwide such as equity, fixed-income, balanced, index and real estate funds. The firm aims to achieve the optimum balance between security and return, thereby generating additional income for their clients over the long-term. | Analyst-Festverzinsliche Wertpapiere | - |
Erfahrungen
Besetzte Positionen
Aktive
Inaktive
Börsennotierte Unternehmen
Private Unternehmen
Beziehungen
Beziehungen ersten Grades
Unternehmen ersten Grades
Herr
Frau
Aufsichtsräte
Führungskräfte
Unternehmensverbindungen
| Private Unternehmen | 2 |
|---|---|
Union Investment Privatfonds GmbH
Union Investment Privatfonds GmbH Investment ManagersFinance Union Investment is a fundamentally active asset manager that covers all asset classes worldwide such as equity, fixed-income, balanced, index and real estate funds. The firm aims to achieve the optimum balance between security and return, thereby generating additional income for their clients over the long-term. | Finance |
Harvest Fund Management Co., Ltd.
Harvest Fund Management Co., Ltd. Investment ManagersFinance HFM is an active, research-driven manager which constructs portfolio based on a combination of bottom-up and top-down fundamental research and quantitative analysis. They believe that the market is inefficient and that thorough analysis and active management can bring about excess returns. The firm has a strict quantitative risk control system for long-term, stable, and excellent performance. | Finance |
















