Edwin Faure

Edwin Faure Email and Phone Number

Chief Investment Officer and Portfolio Manager @ Philippe Hottinguer Gestion
Paris, FR
Edwin Faure's Location
Greater Paris Metropolitan Region, France
Edwin Faure's Contact Details

Edwin Faure personal email

About Edwin Faure

Edwin Faure is a Chief Investment Officer and Portfolio Manager at Philippe Hottinguer Gestion. He possess expertise in powerpoint, corporate finance, fundamental analysis, technical analysis, valuation and 20 more skills. He is proficient in French, English and Italian.

Edwin Faure's Current Company Details
Philippe Hottinguer Gestion

Philippe Hottinguer Gestion

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Chief Investment Officer and Portfolio Manager
Paris, FR
Website:
phhgestion.com
Employees:
17
Edwin Faure Work Experience Details
  • Philippe Hottinguer Gestion
    Chief Investment Officer And Portfolio Manager
    Philippe Hottinguer Gestion
    Paris, Fr
  • Philippe Hottinguer Gestion
    Chief Investment Officer / Portfolio Manager
    Philippe Hottinguer Gestion Jul 2021 - Present
    Paris, Île-De-France, France
    Our mission is to invest responsibly in order to create sustainable value for all stakeholders. Our proprietary investment approach is based on a discretionary investment process called “Abacus” which aims to deliver the best risk-adjusted performance. Abacus’s 4 steps approach 1. Analysis of quantitative criteria2. Fundamental analysis of stocks3. Extra-financial analysis of stocks4. Portfolio construction and monitoring•Portfolio manager of Placeuro Abacus Discovery Placeuro Abacus Discovery is a European equity fund invested mainly in small and micro capitalizations (less than EUR 2 billion). Our selection process is based on our investment process – “Abacus”, without taking into account indices they are related to.•Portfolio manager of Abacus QualityAbacus Quality is a European equity fund invested in companies regardless of the market cap (either large, mid or small caps). Our selection process is based on our investment process – “Abacus”, without taking into account indices they are related to. •Portfolio manager of Abacus Green Deal Abacus Green Deal is a European equity fund invested in companies involved in the ecological and energy transition regardless of the market cap (either large, mid or small caps). Our selection process is based on our investment process – “Abacus”, without taking into account indices they are related to.
  • Gay-Lussac Gestion
    Equity Portfolio Manager / Head Of Esg Investing
    Gay-Lussac Gestion Dec 2020 - Jul 2021
    Paris, Île-De-France, France
    •Portfolio manager of Gay-Lussac Microcaps Equity fund invested in European companies with a market capitalization of less than €300M at inception. The management objective is to reach, over a minimum of 5 years investment horizon, an annualized performance of more than 7% while limiting volatility and drawdowns.•Portfolio manager of Gay-Lussac Smallcaps Equity fund invested in companies in Europe with a market capitalization between EUR 300 million and EUR 2 billion at inception. The management objective is to obtain, over an investment horizon of at least 5 years, a recurrence of performance while limiting market drawdowns.•Portfolio manager of Gay-Lussac Green ImpactMulti-cap equity fund invested in European companies (small to large caps). We seek to select stocks that tend to respond to ecological, responsible and economic issues. The management objective, over a minimum investment horizon of 5 years, is to offer a net annualized performance superior to its benchmark, the Stoxx Europe 600 Total Return.•Portfolio manager of Gay-Lussac Europe FlexGay-Lussac Europe Flex is a flexible fund whose objective is to seek, through discretionary asset allocation and security selection, an annualized performance of more than 5% over a minimum investment horizon of 5 years, by investing primarily in equities in the markets of the European Union and OECD countries.•Portfolio manager of Gay-Lussac HeritageGay-Lussac Heritage is a patrimonial fund with the objective of achieving an annualized performance superior to EONIA capitalized +2% with an overall risk budget of less than 3% volatility over a 3-year investment horizon. This fund combines active, flexible and diversified management in euro zone equities and bonds.
  • Raymond James
    Equity Portfolio Manager / Head Of Esg Investing
    Raymond James Sep 2014 - Jul 2021
    Paris Area, France
    •Portfolio manager of Raymond James Microcaps Equity fund invested in European companies with a market capitalization of less than €300M at inception. The management objective is to reach, over a minimum of 5 years investment horizon, an annualized performance of more than 7% while limiting volatility and drawdowns.•Portfolio manager of Gay-Lussac Smallcaps Equity fund invested in companies in Europe with a market capitalization between EUR 300 million and EUR 2 billion at inception. The management objective is to obtain, over an investment horizon of at least 5 years, a recurrence of performance while limiting market drawdowns.•Portfolio manager of Raymond James Green ImpactMulti-cap equity fund invested in European companies (small to large caps). We seek to select stocks that tend to respond to ecological, responsible and economic issues. The management objective, over a minimum investment horizon of 5 years, is to offer a net annualized performance superior to its benchmark, the Stoxx Europe 600 Total Return.•Portfolio manager of Raymond James Europe FlexRaymond James Europe Flex is a flexible fund whose objective is to seek, through discretionary asset allocation and security selection, an annualized performance of more than 5% over a minimum investment horizon of 5 years, by investing primarily in equities in the markets of the European Union and OECD countries.•Portfolio manager of Raymond James HeritageRaymond James Heritage is a patrimonial fund with the objective of achieving an annualized performance superior to EONIA capitalized +2% with an overall risk budget of less than 3% volatility over a 3-year investment horizon. This fund combines active, flexible and diversified management in euro zone equities and bonds.
  • Raymond James Financial
    Sell-Side Equity Analyst
    Raymond James Financial Oct 2013 - Dec 2013
    London, United Kingdom

Edwin Faure Skills

Powerpoint Corporate Finance Fundamental Analysis Technical Analysis Valuation Portfolio Management Financial Modeling Capital Markets Investments Bloomberg English Finance Strategy Financial Services Equities Microsoft Office Microsoft Word Microsoft Excel Asset Management Financial Analysis Investment Banking Trading Mergers And Acquisitions Analysis Financial Markets

Edwin Faure Education Details

Frequently Asked Questions about Edwin Faure

What company does Edwin Faure work for?

Edwin Faure works for Philippe Hottinguer Gestion

What is Edwin Faure's role at the current company?

Edwin Faure's current role is Chief Investment Officer and Portfolio Manager.

What is Edwin Faure's email address?

Edwin Faure's email address is ed****@****ail.com

What schools did Edwin Faure attend?

Edwin Faure attended Bayes Business School, Luiss Business School, Bayes Business School, Lycée Français Charles De Gaulle De Londres.

What skills is Edwin Faure known for?

Edwin Faure has skills like Powerpoint, Corporate Finance, Fundamental Analysis, Technical Analysis, Valuation, Portfolio Management, Financial Modeling, Capital Markets, Investments, Bloomberg, English, Finance.

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