Wednesday, March 4th 2020,
Hotel Sheraton Brussels Airport
Adrian Daniel joined the MainFirst investment team back in 2012. He is the Lead Portfolio Manager responsible for Absolute Return Multi Asset and supports institutional investors with absolute return targets. His main duties within the team include strategic asset allocation, the assessment of commodities and stock selection. He spent the years from 1996 to 2012 working as a Portfolio Manager at DB Advisors, part of the Deutsche Bank Group. Adrian Daniel is a qualified banking specialist, Certified European Financial Analyst (CEFA) and Certified International Investment Analyst (CIIA).
"Dot.com 2.0 – How big is the risk of a bubble?"
Adrian Daniel is sharing his views on the current bull market as a portfolio manager who has experienced the crash 20 years ago. What kind of growth stocks he would own and what impact ESG could have for growth and value investors. And finally, how big is the chance of a relative comeback of European stock markets?
MAINFIRST ASSET MANAGEMENT is an independent European multi-investment boutique with an active management approach. The firm manages mutual funds and individual special mandates. With its multi-boutique approach it focuses on investment strategies in the selected asset classes equities, fixed income, multi-asset and liquid alternatives. Experienced portfolio management teams with long-standing track records develop strategies with a high active share and individual investment processes. The firm thus combines the expertise and flexibility of focused investment teams with the strengths and clearly defined processes of a broad-based international platform.
For more information (including legal notes), see www.mainfirst-invest.com