Profile
Dr. Fabio Simoncini is a Strategist Investment Manager at Banque Cantonale Vaudoise.
He has over 15 years of experience in the financial industry.
He joined the investment team in July 2013.
Before joining the fixed-income investment team, Mr. Simoncini worked for 11 years at Lombard Odier in Geneva, first as a Quantitative Portfolio Manager for equities, then as a fixed-income manager in charge of index-based investments and developing quantitative strategies.
Dr. Simoncini holds a Master's and a Ph.D.
in Mathematics from the Swiss Federal Institute of Technology (EPFL) in Lausanne.
Former positions of Fabio Simoncini
| Companies | Position | End |
|---|---|---|
Banque Cantonale Vaudoise (Investment Management)
Banque Cantonale Vaudoise (Investment Management) Investment ManagersFinance BCV-IM is an active, growth-oriented manager which aims to achieve above average, risk-adjusted returns over the long-term. The firm allocates investments between asset classes on the basis of a top-down analysis. Their equity strategy committee makes the sector and style allocations for each geographic region, forming the basis of all portfolio management decisions. The purpose is to optimize weightings and construct benchmark portfolios. For bond selection, BCV-IM uses the same process. After the bond strategy committee meets, the bond team optimizes weightings and constructs benchmark portfolios. They then actively manage the portfolio following a bond selection approach. | Portfolio Manager-Fixed Income | 2023-01-31 |
Banque Lombard Odier & Cie SA (Investment Management)
Banque Lombard Odier & Cie SA (Investment Management) Investment ManagersFinance Lombard Odier-IM is an active, research-driven manager which focuses on long-term capital preservation and tailoring their services to their clients' profiles. The firm shares research globally and combines a top-down view with a bottom-up security selection process. Their investment strategy team elaborates and continuously updates macroeconomic forecasts and investment scenarios based on quantitative and technical analysis, resulting in geographical, sectoral and currency allocations. The buy side equity research team tracks a predefined universe of companies worldwide, with a focus on the Swiss market. They also identify promising sectors, regions and themes, assisted by the quantitative research team. | Analyst-Equity | - |
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 | 2 |
|---|---|
Banque Lombard Odier & Cie SA (Investment Management)
Banque Lombard Odier & Cie SA (Investment Management) Investment ManagersFinance Lombard Odier-IM is an active, research-driven manager which focuses on long-term capital preservation and tailoring their services to their clients' profiles. The firm shares research globally and combines a top-down view with a bottom-up security selection process. Their investment strategy team elaborates and continuously updates macroeconomic forecasts and investment scenarios based on quantitative and technical analysis, resulting in geographical, sectoral and currency allocations. The buy side equity research team tracks a predefined universe of companies worldwide, with a focus on the Swiss market. They also identify promising sectors, regions and themes, assisted by the quantitative research team. | Finance |
Banque Cantonale Vaudoise (Investment Management)
Banque Cantonale Vaudoise (Investment Management) Investment ManagersFinance BCV-IM is an active, growth-oriented manager which aims to achieve above average, risk-adjusted returns over the long-term. The firm allocates investments between asset classes on the basis of a top-down analysis. Their equity strategy committee makes the sector and style allocations for each geographic region, forming the basis of all portfolio management decisions. The purpose is to optimize weightings and construct benchmark portfolios. For bond selection, BCV-IM uses the same process. After the bond strategy committee meets, the bond team optimizes weightings and constructs benchmark portfolios. They then actively manage the portfolio following a bond selection approach. | Finance |
- Stock Market
- Insiders
- Fabio Simoncini
















