Profile
Mr. Harm Carstens, CFA, is a Co-Head of Short Duration Portfolio Management EMEA at DWS Investment GmbH.
He is responsible for managing short-duration products in mutual funds and segregated mandates in Euro, GBP, USD, and CHF.
He joined Deutsche Bank in 1999.
Before his current role, he served in Global Markets Research, covering European economics and ECB watching.
Previously, he was a member of the Sovereign Debt Restructuring Team.
Before joining, he worked for the Kiel Institute of World Economics.
He holds a Master's Degree in Economics from the University of Kiel and is a CFA charter holder.
Harm Carstens active positions
| Companies | Position | Start |
|---|---|---|
DWS Investment GmbH
DWS Investment GmbH Investment ManagersFinance DWS’ strategies incorporate a disciplined investment process and sophisticated risk management which builds on the research expertise and global resources and alternative asset management expertise of Deutsche Bank to leverage first-hand, real-time insight from a global research engine that links analysts and investment professionals worldwide. | Portfolio Manager-Fixed Income | 28/08/2013 |
Former positions of Harm Carstens
| Companies | Position | End |
|---|---|---|
DWS Investment GmbH (Old)
DWS Investment GmbH (Old) Investment Trusts/Mutual FundsMiscellaneous DWS Investment is an active, GARP-oriented manager which manages mutual funds invested globally across a broad range of asset classes, regions and sectors. They construct portfolios which take into account environmental, social and governance issues. They have particular expertise in German and international large-cap equities and seek to invest in companies with an attractive risk/reward profile in sectors such as healthcare, telecommunications, oil, alternative energies and infrastructure-related activities. The firm's investment philosophy emphasizes the reactivity and independence of small, dedicated investment teams, as well as close collaboration between equity, balanced, fixed-income and currency specialists. Their fundamental research process comprises an extensive program of company visits and management meetings. Their global network of analysts uses the proprietary G Cube Intranet-based research and communication platform which provides real-time access to information gathered locally. DWS Investment prefers to invest in strong companies in developed markets, targeting dividend-paying companies with a low gearing ratio and management teams with a proven track record. They utilize a bottom-up investment process based on a discounted cash flow model. | Portfolio Manager-Fixed Income | 28/08/2013 |
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 |
|---|---|
DWS Investment GmbH (Old)
DWS Investment GmbH (Old) Investment Trusts/Mutual FundsMiscellaneous DWS Investment is an active, GARP-oriented manager which manages mutual funds invested globally across a broad range of asset classes, regions and sectors. They construct portfolios which take into account environmental, social and governance issues. They have particular expertise in German and international large-cap equities and seek to invest in companies with an attractive risk/reward profile in sectors such as healthcare, telecommunications, oil, alternative energies and infrastructure-related activities. The firm's investment philosophy emphasizes the reactivity and independence of small, dedicated investment teams, as well as close collaboration between equity, balanced, fixed-income and currency specialists. Their fundamental research process comprises an extensive program of company visits and management meetings. Their global network of analysts uses the proprietary G Cube Intranet-based research and communication platform which provides real-time access to information gathered locally. DWS Investment prefers to invest in strong companies in developed markets, targeting dividend-paying companies with a low gearing ratio and management teams with a proven track record. They utilize a bottom-up investment process based on a discounted cash flow model. | Miscellaneous |
DWS Investment GmbH
DWS Investment GmbH Investment ManagersFinance DWS’ strategies incorporate a disciplined investment process and sophisticated risk management which builds on the research expertise and global resources and alternative asset management expertise of Deutsche Bank to leverage first-hand, real-time insight from a global research engine that links analysts and investment professionals worldwide. | Finance |
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