Profile
Dr. Rachid Semaoune is a Senior Fund Manager at Royal London Asset Management Ltd. He joined the firm in February 2015 as a Credit Fund Manager within the Fixed Income Team.
Dr. Semaoune joined from UBS Asset Management where he spent three years managing investment grade credit portfolios.
Prior to this, he was a Deputy Credit Fund Manager at Old Mutual Asset Management.
He began his investment career in 2001 at Gulf International Bank where he worked as a Credit Analyst and Deputy Fund Manager.
Dr. Semaoune studied for a PhD in Physics at Imperial College London and holds a Postgraduate Degree in Laser Physics from the Université Paris 13.
Rachid Semaoune active positions
| Companies | Position | Start |
|---|---|---|
Royal London Asset Management Ltd.
Royal London Asset Management Ltd. Investment ManagersFinance RLAM is an active long-term investor that seeks to identify companies with strong growth potential, durable business franchises, capable management and fair valuation, combining top-down economic and bottom-up sector analysis with risk controls to construct portfolios. The firm selects stock based on analysis of company business models and financial outlook. For fixed-income investments, they evaluate economic reviews of bonds, equities, real estate and cash. | Portfolio Manager-Fixed Income | 2015-02-17 |
Former positions of Rachid Semaoune
| Companies | Position | End |
|---|---|---|
UBS Asset Management (UK) Ltd.
UBS Asset Management (UK) Ltd. Investment ManagersFinance UBS-UK is an active, long-term manager which utilizes integrated investment platforms and a range of investment strategies. The firm employs global tactical asset allocation to take advantage of valuation anomalies through derivatives, both in markets and in currencies. Their investment approach is team-oriented and based on fundamental and proprietary quantitative research generated in-house on a global basis. They aim for a local sector-neutral portfolio selection, which is then used to create global portfolios. UBS-UK invests in equity, fixed-income, hedge funds, liquidity and cash, multi-asset, real assets/PE, and passive/ETFs. | Portfolio Manager-Fixed Income | 2015-01-31 |
Old Mutual Asset Managers (UK) Ltd.
Old Mutual Asset Managers (UK) Ltd. Multi-Line InsuranceFinance OMAM's fund investment strategy focuses on different financial markets and aims for high performance and absolute return investments. Their investments in financial markets are generally considered to be medium to long-term. OMAM believes investments should be held for a minimum of three years. They offer a range of OEIC funds such as single country and regionally-focused as well as specialized niche funds. They seek to spread the risk through investments in different funds tailored to meet their clients' investment objectives. As their clients' investment needs evolve, they offer the possibility of switching funds. OMAM's ISA provides diverse funds with wide geographical diversification such as single country funds, regional funds and global funds. They offer investors various investment approaches such as long-term capital growth, a regular income or a combination of both. In 2001, OMAM launched their first hedge fund. Their absolute return investments encompass a range of strategies and investment types constructed to meet the different risk and return requirements of investors. | Portfolio Manager-Fixed Income | 2011-09-30 |
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 | 3 |
|---|---|
Old Mutual Asset Managers (UK) Ltd.
Old Mutual Asset Managers (UK) Ltd. Multi-Line InsuranceFinance OMAM's fund investment strategy focuses on different financial markets and aims for high performance and absolute return investments. Their investments in financial markets are generally considered to be medium to long-term. OMAM believes investments should be held for a minimum of three years. They offer a range of OEIC funds such as single country and regionally-focused as well as specialized niche funds. They seek to spread the risk through investments in different funds tailored to meet their clients' investment objectives. As their clients' investment needs evolve, they offer the possibility of switching funds. OMAM's ISA provides diverse funds with wide geographical diversification such as single country funds, regional funds and global funds. They offer investors various investment approaches such as long-term capital growth, a regular income or a combination of both. In 2001, OMAM launched their first hedge fund. Their absolute return investments encompass a range of strategies and investment types constructed to meet the different risk and return requirements of investors. | Finance |
Royal London Asset Management Ltd.
Royal London Asset Management Ltd. Investment ManagersFinance RLAM is an active long-term investor that seeks to identify companies with strong growth potential, durable business franchises, capable management and fair valuation, combining top-down economic and bottom-up sector analysis with risk controls to construct portfolios. The firm selects stock based on analysis of company business models and financial outlook. For fixed-income investments, they evaluate economic reviews of bonds, equities, real estate and cash. | Finance |
UBS Asset Management (UK) Ltd.
UBS Asset Management (UK) Ltd. Investment ManagersFinance UBS-UK is an active, long-term manager which utilizes integrated investment platforms and a range of investment strategies. The firm employs global tactical asset allocation to take advantage of valuation anomalies through derivatives, both in markets and in currencies. Their investment approach is team-oriented and based on fundamental and proprietary quantitative research generated in-house on a global basis. They aim for a local sector-neutral portfolio selection, which is then used to create global portfolios. UBS-UK invests in equity, fixed-income, hedge funds, liquidity and cash, multi-asset, real assets/PE, and passive/ETFs. | Finance |
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