Profile
Mr. David Bopp, CFA, is a Senior Investment Manager at Pictet Asset Management SA. He began working for the asset management department in 2004.
Before joining Pictet, he spent more than three years in portfolio management at UBS.
Mr. Bopp holds a degree in Economics from the HEC Business School in Lausanne and a Chartered Financial Analyst (CFA) designation.
David Bopp active positions
| Companies | Position | Start |
|---|---|---|
Pictet Asset Management SA
Pictet Asset Management SA Investment ManagersFinance Pictet AM is an active, long-term, organic growth-oriented manager with a strong focus on valuation across equity, credit, sovereign debt and currencies. The firm employs a variety of investment styles, allowing their teams to implement the best approach for their respective asset classes. Pictet AM’s investment resources are focused on three distinctive capabilities: (1) Greater Europe invest across European the corporate capital structure; (2) Emerging World which has grown with the market, starting with equities and hard currency debt, then adding local currency debt and more recently Asia specific and corporate debt strategies; (3) Global Specialties offer a range of investment strategies that capture long-term trends or aim to benefit from structural changes across sectors and regions. The firm’s beta agnostic thematic equity, multi-asset and absolute return fixed income products lie at the heart of these strategies. Their goal is to provide long-term return potential with diversified risk. | Portfolio Manager-Fixed Income | 31/03/2004 |
Training of David Bopp
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Linked companies
| Private companies | 2 |
|---|---|
Pictet Asset Management SA
Pictet Asset Management SA Investment ManagersFinance Pictet AM is an active, long-term, organic growth-oriented manager with a strong focus on valuation across equity, credit, sovereign debt and currencies. The firm employs a variety of investment styles, allowing their teams to implement the best approach for their respective asset classes. Pictet AM’s investment resources are focused on three distinctive capabilities: (1) Greater Europe invest across European the corporate capital structure; (2) Emerging World which has grown with the market, starting with equities and hard currency debt, then adding local currency debt and more recently Asia specific and corporate debt strategies; (3) Global Specialties offer a range of investment strategies that capture long-term trends or aim to benefit from structural changes across sectors and regions. The firm’s beta agnostic thematic equity, multi-asset and absolute return fixed income products lie at the heart of these strategies. Their goal is to provide long-term return potential with diversified risk. | Finance |
HEC Lausanne
HEC Lausanne Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
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