I'm a portfolio manager within the European Equities team at a mid-sized asset manager. Under my coverage is the financial sector (including Banks, Insurance, Real Estate and Diversified Financials) on a Pan-European basis (Eurozone, UK, Switzerland and Scandinavia). Previously, I've worked as a generalist buy-side financial analyst, covering equities, fixed income and derivatives.
Triangula Capital aims to outperform an investment in Vanguard index funds through a combination of quantitative, fundamental and macro analysis. The Portfolio Manager has a long track record with a 10-year average return of 25.6 per cent a year.
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