Martin Siwmark
Portfolio Manager-Aktien bei
Aktive Positionen von Martin Siwmark
| Unternehmen | Position | Beginn | Ende |
|---|---|---|---|
Tredje AP-fonden
Tredje AP-fonden Investment ManagersFinance AP3 is an active, risk-averse, long-term manager which manages a diversified global portfolio that allocates assets across six risk categories: Equities, Fixed Income, Credits, Inflation, Currencies and Absolute Return Strategies. By investing in both listed and unlisted assets locally and globally, the firm has crafted a diversified portfolio that is more robust in periods of financial uncertainty. AP3 combines their investment decisions with a long, medium and short-term investment horizon yields high risk-adjusted returns, thus increasing the probability of achieving return targets. Their investment strategy is geared to achieving the annual target return of 4% in the long term. The firm also uses structured methods to change the composition of the portfolio by adjusting levels of risk to reflect prevailing market conditions. | Portfolio Manager-Aktien | 01.09.2024 | - |
Karriereverlauf von Martin Siwmark
Ehemalige bekannte Positionen von Martin Siwmark
| Unternehmen | Position | Beginn | Ende |
|---|---|---|---|
AMF Fonder AB
AMF Fonder AB Investment ManagersFinance AMF Fonder is an active, long-term manager that invests in the US and in select European and Asian markets. They combine fundamental analysis with quantitative tools to invest in equities. Their investment committee utilizes a top-down approach to strategically allocate equities across regions and sectors and construct concentrated portfolios based on a bottom-up approach which targets reasonably-priced companies with quality management. Stock selection criteria include competitive position, visible earnings, growth potential and valuation focused on earnings projections, cash flow, balance sheet soundness and dividend capacity. | Portfolio Manager-Aktien | 01.10.2018 | 30.09.2024 |
| Corporate Officer/Principal | 01.04.2017 | 01.10.2018 |
Ausbildung von Martin Siwmark
Statistik
International
| Schweden | 4 |
Operativ
| Portfolio Manager-Equities | 2 |
| Corporate Officer/Principal | 1 |
| Undergraduate Degree | 1 |
Sektoral
| Finance | 3 |
| Consumer Services | 2 |
Besetzte Positionen
Aktive
Inaktive
Börsennotierte Unternehmen
Private Unternehmen
Unternehmensverbindungen
| Private Unternehmen | 3 |
|---|---|
Tredje AP-fonden
Tredje AP-fonden Investment ManagersFinance AP3 is an active, risk-averse, long-term manager which manages a diversified global portfolio that allocates assets across six risk categories: Equities, Fixed Income, Credits, Inflation, Currencies and Absolute Return Strategies. By investing in both listed and unlisted assets locally and globally, the firm has crafted a diversified portfolio that is more robust in periods of financial uncertainty. AP3 combines their investment decisions with a long, medium and short-term investment horizon yields high risk-adjusted returns, thus increasing the probability of achieving return targets. Their investment strategy is geared to achieving the annual target return of 4% in the long term. The firm also uses structured methods to change the composition of the portfolio by adjusting levels of risk to reflect prevailing market conditions. | Finance |
University of Lund
University of Lund Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
AMF Fonder AB
AMF Fonder AB Investment ManagersFinance AMF Fonder is an active, long-term manager that invests in the US and in select European and Asian markets. They combine fundamental analysis with quantitative tools to invest in equities. Their investment committee utilizes a top-down approach to strategically allocate equities across regions and sectors and construct concentrated portfolios based on a bottom-up approach which targets reasonably-priced companies with quality management. Stock selection criteria include competitive position, visible earnings, growth potential and valuation focused on earnings projections, cash flow, balance sheet soundness and dividend capacity. | Finance |
- Börse
- Insiders
- Martin Siwmark
- Erfahrung
















