Training and expertise
Master in Market Finance
18 years of experience as a bond portfolio manager
Course objective:
My goal is to help you quickly master the essential skills of the portfolio manager profession. I emphasize a practical and effective approach, based on my real-world experience in the field.
Areas of expertise
I specialize in two key approaches to portfolio management:
Benchmarked management:
Understanding and tracking benchmarks
Strategies to outperform the benchmark
Relative risk management
Absolute return management:
Absolute Return Strategies
Absolute Risk Management
Performance optimization techniques regardless of market conditions
My educational approach:
Courses based on practical cases and real situations
Sharing concrete experiences from the bond market
Focus on immediately applicable skills
Personalized support to meet your specific objectives
What you will learn:
The fundamentals of bond portfolio management
Advanced benchmarked and absolute return management techniques
Market analysis and investment decision making
Risk management in different market contexts
Best practices from 18 years of field experience
Join me to accelerate your learning and develop the skills needed to excel in the dynamic world of portfolio management.
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If you are not satisfied after your first lesson, Apprentus will find you another instructor or will refund your first lesson.
Online reputation
- Instructor since August 2023
- Phone number verified
- Google connected