Profile
Mr. Xavier Biharé is a Fund Manager at Platinium Gestion SAS. Mr. Biharé was previously employed as Managing Director & Fund Manager by A2 Gestion SAS.
Former positions of Xavier Biharé
| Companies | Position | End |
|---|---|---|
Platinium Gestion SAS
Platinium Gestion SAS Investment ManagersFinance Platinium Gestion’s approach as a responsible investor is based on two convictions: making capital grow and improving returns. | Portfolio Manager-Equities | 2021-07-31 |
A2 Gestion SAS
A2 Gestion SAS Investment ManagersFinance A2 Gestion is an active, long-term, pragmatic multi-manager which aims to provide excellent risk/return through a structured process of fund selection, diversification and asset allocation, seeking to position their funds among the least volatile products in their respective categories. The firm encourages a collegial approach to select managers, employing qualitative and quantitative criteria without reference to systematic indexes and flexible tactical allocation. For Defensive Centaur and Centaur Latitude 75, they aim to provide results uncorrelated to indexes. For Centaur PEA, they seek to outperform their indexes with lower volatility. A2 Gestion follows a top-down approach to allocate assets based on a macroeconomic analysis of economic indicators (GDP, inflation, activity indicators, confidence indicators), geopolitical events, press and external studies. They also conduct market analysis on equities, fixed-income, currencies and commodities. | Chief Executive Officer | - |
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 |
|---|---|
Platinium Gestion SAS
Platinium Gestion SAS Investment ManagersFinance Platinium Gestion’s approach as a responsible investor is based on two convictions: making capital grow and improving returns. | Finance |
A2 Gestion SAS
A2 Gestion SAS Investment ManagersFinance A2 Gestion is an active, long-term, pragmatic multi-manager which aims to provide excellent risk/return through a structured process of fund selection, diversification and asset allocation, seeking to position their funds among the least volatile products in their respective categories. The firm encourages a collegial approach to select managers, employing qualitative and quantitative criteria without reference to systematic indexes and flexible tactical allocation. For Defensive Centaur and Centaur Latitude 75, they aim to provide results uncorrelated to indexes. For Centaur PEA, they seek to outperform their indexes with lower volatility. A2 Gestion follows a top-down approach to allocate assets based on a macroeconomic analysis of economic indicators (GDP, inflation, activity indicators, confidence indicators), geopolitical events, press and external studies. They also conduct market analysis on equities, fixed-income, currencies and commodities. | Finance |
- Stock Market
- Insiders
- Xavier Biharé
















