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The Investment Manager's investment approach is based on a combination of macro analysis encompassing economic and monetary policy forecasts and "bottom-up" credit analysis. Bond selection is based on a lender perspective where careful credit and country risk analysis are performed using in-house and third party research materials.
Name | Title | Since | Until |
---|---|---|---|
Olivier Spoor | - | 2014 | Now |
Biography | Olivier Spoor joined Oclaner Asset Management in 2014 as fund manager of the Oclaner Asian Bond Fund and the Oclaner Patrimonial Fund. From 2011 to 2014, Olivier was an investment analyst with K Street Capital in Singapore, an Asian credit hedge fund. Olivier also worked as a convertible bond analyst with Exane from 2006 to 2011. He holds a MSc in Finance from Audencia Nantes School of Management. |
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