Profile
Ms. Rocio Muniz is a Portfolio Manager at Quoniam Asset Management GmbH.
Rocio Muniz active positions
| Companies | Position | Start |
|---|---|---|
Quoniam Asset Management GmbH
Quoniam Asset Management GmbH Investment ManagersFinance Quoniam is an active, quantitative manager which believes that a structured investment process can generate sustainable returns compared to a passive investment and that the manner in which information is processed is a crucial success factor. For this reason, they develop quantitative investment strategies that process fundamental information on companies and markets. The firm follows a bottom-up approach, to produce performance forecasts on significant indivdual equities which are based on financial statements, equity valuations, investor sentiment, and macroeconomic factors. The factor weightings are regularly re-calibrated, ensuring dynamic adjustment in response to new market developments. They then implement performance forecasts in a risk-controlled manner. Quoniam makes investment decisions based on fundamental know-how. They also use models and methodology to analyze information in an objective, controlled, and historical manner. As a result, they are able to construct broadly diversified portfolios comprising numerous small, actively-managed positions. | Portfolio Manager-Equities | 01/04/2004 |
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 | 1 |
|---|---|
Quoniam Asset Management GmbH
Quoniam Asset Management GmbH Investment ManagersFinance Quoniam is an active, quantitative manager which believes that a structured investment process can generate sustainable returns compared to a passive investment and that the manner in which information is processed is a crucial success factor. For this reason, they develop quantitative investment strategies that process fundamental information on companies and markets. The firm follows a bottom-up approach, to produce performance forecasts on significant indivdual equities which are based on financial statements, equity valuations, investor sentiment, and macroeconomic factors. The factor weightings are regularly re-calibrated, ensuring dynamic adjustment in response to new market developments. They then implement performance forecasts in a risk-controlled manner. Quoniam makes investment decisions based on fundamental know-how. They also use models and methodology to analyze information in an objective, controlled, and historical manner. As a result, they are able to construct broadly diversified portfolios comprising numerous small, actively-managed positions. | Finance |
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