Profile
Sten Götte has worked as a Portfolio Manager at Banque CIC (Suisse) AG since 2017.
Sten Götte active positions
| Companies | Position | Start |
|---|---|---|
Banque CIC (Suisse) AG
Banque CIC (Suisse) AG Investment ManagersFinance Banque CIC SA (Suisse) is a conservative investment manager focused on long-term capital preservation. The bank customizes their investment approach to their clients' profile. Focused on market trends, their investment strategy is defined by a committee and revised periodically. The bank's own assets are invested in fixed-income, hedging interest risks with swaps and futures. Their investment processes are either active or passive. Their CIC/CIAL family of funds tracks the indexes of major stock and bond markets. Banque CIC SA (Suisse) manages multi-manager portfolios invested in their own funds, in third-party structured products and funds (equity, bond and money-market funds), as well as in alternative investments and ETFs. Some of the bank's multi-manager portfolios exclude in-house products. Research is performed in-house and supplemented with third-party analysis. | Portfolio Manager-Equities | 2017-02-28 |
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1st degree connections
1st degree companies
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Linked companies
| Private companies | 1 |
|---|---|
Banque CIC (Suisse) AG
Banque CIC (Suisse) AG Investment ManagersFinance Banque CIC SA (Suisse) is a conservative investment manager focused on long-term capital preservation. The bank customizes their investment approach to their clients' profile. Focused on market trends, their investment strategy is defined by a committee and revised periodically. The bank's own assets are invested in fixed-income, hedging interest risks with swaps and futures. Their investment processes are either active or passive. Their CIC/CIAL family of funds tracks the indexes of major stock and bond markets. Banque CIC SA (Suisse) manages multi-manager portfolios invested in their own funds, in third-party structured products and funds (equity, bond and money-market funds), as well as in alternative investments and ETFs. Some of the bank's multi-manager portfolios exclude in-house products. Research is performed in-house and supplemented with third-party analysis. | Finance |
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