Profile
Mr. Marc Siebel is a Managing Partner at Peacock Capital GmbH.
Mr. Siebel founded Peacock Capital GmbH in October 2012 after more than 12 years of professional experience in institutional asset management.
Since founding the company, he has acted as managing director and primary fund manager.
He then began his career in 2000 at WestLB AG in sell-side equity research and emerging markets' asset management in London.
As part of the team for European equities and multi-asset concepts at the managing company in Düsseldorf, Siebel managed strategic customer assets totaling more than EUR 1 billion.
He ultimately moved his focus to small & mid-cap stocks, assuming responsibility for managing all small & mid-cap mandates, including the WestLB Mellon mutual fund.
He joined Lampe Asset Management at the beginning of 2009 as a senior fund manager and Product Head of European Small & Mid-Caps, developing an investment concept focussed on family-run businesses.
In addition to managing institutional assets, he was responsible for strategic and tactical asset allocation decisions for the company's multi-asset mandates.
He graduated with honors from the University of Siegen in 2000 with a degree in economics focused on finance and accounting.
As part of his studies, he completed the University of Tulsa's Finance Graduate Program in Tulsa, Oklahoma, during a one-year stay in the US.
Mr. Siebel became a Certified European Financial Analyst (CEFA) in 2002.
Marc Siebel active positions
| Companies | Position | Start |
|---|---|---|
Peacock Capital GmbH
Peacock Capital GmbH Investment ManagersFinance Peacock Capital is an active, fundamentals-based manager which focuses on European Small and Mid-Caps equities. The firm follows a strict value-focused, long-term investment approach which aims to generate returns beyond those of traditional investments in equities. They employ asset allocation strategies to optimize the risk-return profile of investments. | Chief Executive Officer | 30/09/2012 |
Former positions of Marc Siebel
| Companies | Position | End |
|---|---|---|
Lampe Asset Management GmbH
Lampe Asset Management GmbH Investment ManagersFinance LAM is an active, long-term manager which aims to generate above-average, risk-controlled returns. The firm develops individualized, in-house, tailor-made investment solutions based on client's needs and goals - both as special AIFs (special funds) via asset management mandates or mutual funds. They advise clients on liquid investment concepts and risk strategies - be it fundamental or systematic. | Portfolio Manager-Equities | 30/09/2012 |
WestLB Mellon Asset Management Kapitalanlage GmbH
WestLB Mellon Asset Management Kapitalanlage GmbH Regional BanksFinance WMAMK is an active, VARP-oriented manager (Value At a Reasonable Price), whose investment philosophy and process is focused on European and Emerging Markets. The firm specializes in the management of European bonds, Euro corporates, European ABS, European high yield, global high yield, European equities, European balanced funds, multi-asset funds and asset allocation products. WMAMK's equity investment process combines fundamental-driven, bottom-up stock selection with disciplined quantitative analysis, and involves a three stage filtering process. First an internally developed quantitative stock screener made of three inputs (a multi-factor model, a CFROI model and a technical model) identifies pricing anomalies, then a team of in-house analysts establishes their fundamental view of the value of these companies, and finally a portfolio is constructed with high stock-specific risk. As a fixed-income manager, the firm specializes in investment-grade Euroland bonds and combines fundamental and quantitative analysis in a top-down selection process. Asset managers conduct in-house research and build model portfolios as well as a list of investment opportunities from which fund managers select securities while replicating the structure of the model portfolio. Risk management is an ongoing process and portfolios are controlled ex-ante and monitored ex-post. WMAMK has a multi-factor team-based approach to decision making and evaluates performance on a risk-adjusted basis. | Portfolio Manager-Equities | 27/02/2009 |
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 |
|---|---|
WestLB Mellon Asset Management Kapitalanlage GmbH
WestLB Mellon Asset Management Kapitalanlage GmbH Regional BanksFinance WMAMK is an active, VARP-oriented manager (Value At a Reasonable Price), whose investment philosophy and process is focused on European and Emerging Markets. The firm specializes in the management of European bonds, Euro corporates, European ABS, European high yield, global high yield, European equities, European balanced funds, multi-asset funds and asset allocation products. WMAMK's equity investment process combines fundamental-driven, bottom-up stock selection with disciplined quantitative analysis, and involves a three stage filtering process. First an internally developed quantitative stock screener made of three inputs (a multi-factor model, a CFROI model and a technical model) identifies pricing anomalies, then a team of in-house analysts establishes their fundamental view of the value of these companies, and finally a portfolio is constructed with high stock-specific risk. As a fixed-income manager, the firm specializes in investment-grade Euroland bonds and combines fundamental and quantitative analysis in a top-down selection process. Asset managers conduct in-house research and build model portfolios as well as a list of investment opportunities from which fund managers select securities while replicating the structure of the model portfolio. Risk management is an ongoing process and portfolios are controlled ex-ante and monitored ex-post. WMAMK has a multi-factor team-based approach to decision making and evaluates performance on a risk-adjusted basis. | Finance |
Lampe Asset Management GmbH
Lampe Asset Management GmbH Investment ManagersFinance LAM is an active, long-term manager which aims to generate above-average, risk-controlled returns. The firm develops individualized, in-house, tailor-made investment solutions based on client's needs and goals - both as special AIFs (special funds) via asset management mandates or mutual funds. They advise clients on liquid investment concepts and risk strategies - be it fundamental or systematic. | Finance |
Peacock Capital GmbH
Peacock Capital GmbH Investment ManagersFinance Peacock Capital is an active, fundamentals-based manager which focuses on European Small and Mid-Caps equities. The firm follows a strict value-focused, long-term investment approach which aims to generate returns beyond those of traditional investments in equities. They employ asset allocation strategies to optimize the risk-return profile of investments. | Finance |
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