Mathias Neidert

Mathias Neidert, CFA

Managing Director – Responsable des marchés cotés

Mathias est responsable des Marchés cotés et membre de l'équipe de direction de la société. Il a rejoint bfinance en tant que Senior Associate en mars 2008, se concentrant sur la recherche et la sélection de gestionnaires dans le domaine obligataire. Il a été nommé responsable des marchés cotés en 2014, dirigeant une équipe de spécialistes des classes d'actifs en charge du conseil en investissement au sein des actions cotées et des obligations. Avant de rejoindre bfinance, il a travaillé pour RBC Dexia au Luxembourg, plus récemment en tant que chef de produit pour les services d'analyse des investissements. Mathias a commencé sa carrière dans le secteur des fonds d'investissement en 2003. Il est titulaire de la certification CFA et d'un master en administration des affaires de l'Université de Saint-Gall (Lic. Oec. HSG) en Suisse.


Market intelligence:

Asset owners are now grappling with fundamental tensions within equity portfolio design. The runaway performance of tech titans has led to fears of market over-concentration. At the same time,...

A secular macroeconomic transition has created an unenviable series of choices—and potential traps— for pension funds, insurers, endowments, foundations, family offices and other ‘asset owners’...

bfinance’s quarterly report in November 2024: read the team’s latest insights on institutional investor activity, risk appetite, market developments and asset manager performance across all major...

Diversity (or the lack of) has been a hot topic across the asset management industry for decades. However, a growing number of investors are seeking managers who encourage and display high levels of...

In a new macroeconomic environment, cost management requires fresh attention from investors. Inflation and higher-for-longer rates have created upward pressure on expenses in a variety of areas,...

The Global Sukuk market has evolved significantly in recent years, as investors search for new and innovative routes to positive returns while navigating a landscape riddled with economic and...

The 2022-2024 period has provided new tests for investors’ fixed income and alternative credit portfolios, thanks to the repercussions of heightened interest rates and ever-extending expectations...

bfinance’s quarterly report in August 2024: read the team’s latest insights on institutional investor activity, risk appetite, market developments and asset manager performance across all major...