Profile
Alberto Alvarez currently works at IAM Independent Asset Management SA, as Trader from 2006.
Alberto Alvarez active positions
| Companies | Position | Start |
|---|---|---|
IAM Independent Asset Management SA
IAM Independent Asset Management SA Investment ManagersFinance IAM is an active, growth-oriented manager which constructs portfolios invested globally in equity, fixed-income, precious metals and real estate. They focus on Swiss, European and North American blue-chip and large-cap equity; however, they have no market-cap restrictions and no particular sector focus. As a real estate investor they primarily invest in Swiss securities and invest in global real estate markets via REITs. The firm's investment process combines top-down asset allocation and bottom-up sector and stock selection. They aim to identify companies with strong management teams, which are concerned about shareholder value, and which have leading market positions and a significant unexploited market opportunity. IAM conducts fundamental analyses to determine future cash flow. They utilize in-house research for local investments which they complement with third-party research. They employ quantitative tools, primarily as risk and exposure control measures. | Trading-Equity | 2006-02-28 |
Experiences
Positions held
Active
Inactive
Listed companies
Private companies
Connections
1st degree connections
1st degree companies
Male
Female
Members of the board
Executives
Linked companies
| Private companies | 1 |
|---|---|
IAM Independent Asset Management SA
IAM Independent Asset Management SA Investment ManagersFinance IAM is an active, growth-oriented manager which constructs portfolios invested globally in equity, fixed-income, precious metals and real estate. They focus on Swiss, European and North American blue-chip and large-cap equity; however, they have no market-cap restrictions and no particular sector focus. As a real estate investor they primarily invest in Swiss securities and invest in global real estate markets via REITs. The firm's investment process combines top-down asset allocation and bottom-up sector and stock selection. They aim to identify companies with strong management teams, which are concerned about shareholder value, and which have leading market positions and a significant unexploited market opportunity. IAM conducts fundamental analyses to determine future cash flow. They utilize in-house research for local investments which they complement with third-party research. They employ quantitative tools, primarily as risk and exposure control measures. | Finance |
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