Mathias Neidert

Mathias Neidert, CFA

Managing Director, Responsabile dei mercati quotati e Responsabile obbligazionario

Mathias è Head of Public Markets e membro del Senior Management Team della società. È entrato in bfinance come Senior Associate nel marzo 2008, concentrandosi sulla ricerca e la selezione dei gestori obbligazionari. Nel 2014 è stato nominato Head of Public Markets, gestendo un team di specialisti incaricati della consulenza sugli investimenti azionari ed obbligazionari. Prima di entrare a far parte di bfinance, ha lavorato per RBC Dexia in Lussemburgo, da ultimo come Product Manager per i servizi di Investment Analytics. Mathias ha iniziato la sua carriera nel settore dei fondi di investimento nel 2003. È titolare di un CFA Charterholder e ha conseguito un master in economia aziendale presso l'Università di San Gallo (Lic. Oec. HSG) in Svizzera.


Ulteriori approfondimenti dal team:

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...