Profile
Mr. Hubert Mathet joined Laub Investment Management in 2008 as director and manager of the Beavan Somua Fund.
Before that he worked at Syz & CO since February 2004.
As from April 2005 he was the Portfolio Manager of the OYSTER European Small Cap Fund.
He started at Syz & Co as an analyst covering European small and medium cap stocks.
Before joining SYZ & CO he acted as Bankruptcy Trustee, for over 10 years, where he was responsible for the restructuring of over 400 European companies.
Mr. Mathet is a Graduate of the Université Paris Dauphine.
And has a MBA from the HEC school of management.
Former positions of Hubert Mathet
| Companies | Position | End |
|---|---|---|
Laub Investment Management Ltd.
Laub Investment Management Ltd. Laub is an active manager which aims to preserve investor capital and achieve absolute returns of between 10% and 15% per annum over a three to five year period. The firm focuses investments on listed equities and has a preference for listed European equities. | Director of Investments | 12/06/2012 |
Syz Asset Management (Europe) Ltd.
Syz Asset Management (Europe) Ltd. Investment ManagersFinance Syz & Co.AM is an active, non-indexed, value-oriented manager which prioritizes stock-picking, with a view to generating absolute returns. They manage market risk and actively allocate investments between different asset classes, seeking the correct balance between cash, fixed-income, equities and alternative investments. The firm utilizes a proprietary set of quantitative macroeconomic forecasting models to make investment decisions, selecting sectors and individual securities following a bottom-up approach which seeks to identify undervalued companies. | Portfolio Manager-Equities | 29/09/2008 |
Banque SYZ SA
Banque SYZ SA Investment ManagersFinance Banque SYZ is primarily an active, benchmark-insensitive investor which employs a range of hedging techniques and utilizes alternative products, aiming to optimize risk and return. The firm only invests in areas where they perceive a genuine opportunity for gain and complements in-house expertise with external management for certain asset classes. They follow a two phase investment strategy consisting of asset allocation and stock-picking. Banque SYZ follows a bottom-up approach to select stock utilizing a value-driven philosophy which aims to identify undervalued companies. This process includes a company valuation program based on the assessment of fundamental characteristics of stocks via qualitative and quantitative analyses, which vary according to industry sectors. | Portfolio Manager-Equities | - |
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 |
|---|---|
Banque SYZ SA
Banque SYZ SA Investment ManagersFinance Banque SYZ is primarily an active, benchmark-insensitive investor which employs a range of hedging techniques and utilizes alternative products, aiming to optimize risk and return. The firm only invests in areas where they perceive a genuine opportunity for gain and complements in-house expertise with external management for certain asset classes. They follow a two phase investment strategy consisting of asset allocation and stock-picking. Banque SYZ follows a bottom-up approach to select stock utilizing a value-driven philosophy which aims to identify undervalued companies. This process includes a company valuation program based on the assessment of fundamental characteristics of stocks via qualitative and quantitative analyses, which vary according to industry sectors. | Finance |
Syz Asset Management (Europe) Ltd.
Syz Asset Management (Europe) Ltd. Investment ManagersFinance Syz & Co.AM is an active, non-indexed, value-oriented manager which prioritizes stock-picking, with a view to generating absolute returns. They manage market risk and actively allocate investments between different asset classes, seeking the correct balance between cash, fixed-income, equities and alternative investments. The firm utilizes a proprietary set of quantitative macroeconomic forecasting models to make investment decisions, selecting sectors and individual securities following a bottom-up approach which seeks to identify undervalued companies. | Finance |
Laub Investment Management Ltd.
Laub Investment Management Ltd. Laub is an active manager which aims to preserve investor capital and achieve absolute returns of between 10% and 15% per annum over a three to five year period. The firm focuses investments on listed equities and has a preference for listed European equities. |
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