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Asset management
Asset management
Asset management
Asset management
Asset management
Asset management
Asset management
Asset management
Asset management
Banque Privée Background Spiral Mobile
Banque Privée Background Spiral Mobile
Banque Privée Background Spiral Mobile
Banque Privée Background Spiral Mobile
Banque Privée Background Spiral Mobile
Banque Privée Background Spiral Mobile

Asset management

Crafted to capitalise on growth trends, Piguet Galland funds and share certificates target sustained capital appreciation through a meticulous approach.

    • Piguet Fund - North American Equities

      The Piguet Fund - North American Equities (USD) is a fund incorporated under Swiss law that primarily invests in North American equities. It also selectively invests in other funds. The fund offers daily liquidity.
      Daniel Steck

      Daniel Steck

      Analyst Fund Manager

      Piguet Fund - North American Equities

      Piguet Fund - North American Equities

        • North America A Equities

          • Currency

            USD

          • ISIN

            CH0128045579

          • Distribution mode

            Distribution

        • Institutional Reserved
        • North America I Equities

          • Currency

            USD

          • ISIN

            CH0390987938

          • Distribution mode

            Distribution

    • Piguet Fund - Asia-Pacific Equities ex-Japan

      The Piguet Fund - Asia-Pacific Equities ex-Japan (USD), incorporated under Swiss law, focuses on stock markets in the Pacific Basin, excluding Japan. It also selectively invests in other funds. The fund may utilize derivatives like futures, options, and convertibles. Daily liquidity is available.
      Ed Yau

      Ed Yau

      Analyst Fund Manager

      Piguet Fund - Asia-Pacific Equities ex-Japan

      Piguet Fund - Asia-Pacific Equities ex-Japan

        • Asia-Pacific Equities ex-Japan A

          • Currency

            USD

          • ISIN

            CH0128045660

          • Distribution mode

            Distribution

        • Institutional Reserved
        • Asia-Pacific Equities ex-Japan I

          • Currency

            USD

          • ISIN

            CH0390987953

          • Distribution mode

            Distribution

    • Piguet Fund – Japan Equities

      Piguet Fund - Japan Equities, a Swiss-registered fund, is primarily invested in Japanese equities and selectively in other funds. The use of derivatives, such as futures, options, and convertibles, is possible. The fund offers daily liquidity.
      Ed Yau

      Ed Yau

      Analyst Fund Manager

      Piguet Fund – Japan Equities

      Piguet Fund – Japan Equities

        • Japan A Equities

          • Currency

            JPY

          • ISIN

            CH0128045645

          • Distribution mode

            Distribution

        • Institutional Reserved
        • Japan I Equities

          • Currency

            JPY

          • ISIN

            CH0390987946

          • Distribution mode

            Distribution

    • Piguet Fund - Pan European Equities

      The Piguet Fund - Actions Pan-Europe invests in European equities and selectively in other funds. It may utilise linked instruments such as options, warrants, and convertibles. The fund provides daily liquidity.
      Christina Carlsten

      Christina Carlsten

      Analyst Fund Manager

      Piguet Fund - Pan European Equities

      Piguet Fund - Pan European Equities

        • Pan-European Equities A

          • Currency

            EUR

          • ISIN

            CH0128045496

          • Distribution mode

            Distribution

        • Institutional Reserved
        • Pan-European Equities I

          • Currency

            EUR

          • ISIN

            CH0390987920

          • Distribution mode

            Distribution

    • Piguet Fund - Swiss equities

      The Piguet Fund - Swiss Equities aims for long-term capital growth by combining top-down analysis and bottom-up selection. The portfolio focuses on around twenty stocks, including SMI blue chips to small and mid-caps. Derivatives, third-party funds, and cash may be used to manage volatility and seize opportunities. The fund offers daily liquidity.
      Daniel Steck

      Daniel Steck

      Analyst Fund Manager

      Piguet Fund - Swiss equities

      Piguet Fund - Swiss equities

        • Swiss Equities A

          • Currency

            CHF

          • ISIN

            CH0104837494

          • Distribution mode

            Distribution

        • Institutional Reserved
        • Swiss Equities I

          • Currency

            CHF

          • ISIN

            CH0261293432

          • Distribution mode

            Distribution

    • Piguet Fund - Swiss Equities SMID

      The Piguet Fund - Swiss Equities SMID concentrates on the small and mid-cap segment of the Swiss stock market, offering diversification with active management. The portfolio includes innovative and dynamic Swiss companies. The manager may use third-party funds, derivatives, and cash for risk management or opportunity exploitation.
      Daniel Steck

      Daniel Steck

      Analyst Fund Manager

      Piguet Fund - Swiss Equities SMID

      Piguet Fund - Swiss Equities SMID

      Swiss small and mid-cap equity fund.

        • Piguet Fund Swiss Equities - SMID A

          • Currency

            CHF

          • ISIN

            CH1148776656

          • Distribution mode

            Distribution

        • Institutional Reserved
        • Piguet Fund Swiss Equities - SMID I

          • Currency

            CHF

          • ISIN

            CH1148776664

          • Distribution mode

            Distribution

    • Piguet Fund - Pondéré

      The Piguet Fund - Weighted, a Swiss-incorporated fund, invests in short-term investments, bonds, and equities worldwide, following Piguet Galland's medium-risk investment strategy. It may utilise instruments like options, warrants, convertibles, and investment funds. The fund is available in CHF, EUR, and USD, with weekly liquidity.
      Claudia Dorsaz

      Claudia Dorsaz

      Analyst Fund Manager

      Piguet Fund - Pondéré

      Piguet Fund - Pondéré

        • Weighted (CHF) A

          • Currency

            CHF

          • ISIN

            CH0104837502

          • Distribution mode

            Distribution

        • Weighted (EUR) A

          • Currency

            EUR

          • ISIN

            CH0104837510

          • Distribution mode

            Distribution

        • Weighted (USD) A

          • Currency

            USD

          • ISIN

            CH0128491880

          • Distribution mode

            Distribution

    • Piguet Global Fund - International bond

      The Piguet Global Fund - International Bond is a Luxembourg mutual fund aiming for high returns while preserving capital. It invests in international bond markets, including convertible bonds and bonds with options. The fund is available in CHF, EUR, and USD, offering daily liquidity.
      Daniel Varela

      Daniel Varela

      Chief Investment Officer

      Piguet Global Fund - International bond

      Piguet Global Fund - International bond

        • International Bond (CHF) C

          • Currency

            CHF

          • ISIN

            LU0079235031

          • Distribution mode

            Capitalization

        • International Bond (CHF) D

          • Currency

            CHF

          • ISIN

            LU0079234737

          • Distribution mode

            Distribution

        • Institutional Reserved
        • International Bond (CHF) I

          • Currency

            CHF

          • ISIN

            LU0493469307

          • Distribution mode

            Capitalization

        • Institutional Reserved
        • International Bond (CHF) J

          • Currency

            CHF

          • ISIN

            LU0493469729

          • Distribution mode

            Distribution

        • International Bond (EUR) C

          • Currency

            EUR

          • ISIN

            LU0079235973

          • Distribution mode

            Capitalization

        • International Bond (EUR) D

          • Currency

            EUR

          • ISIN

            LU0079235627

          • Distribution mode

            Distribution

        • Institutional Reserved
        • International Bond (EUR) I

          • Currency

            EUR

          • ISIN

            LU0493470651

          • Distribution mode

            Capitalization

        • Institutional Reserved
        • International Bond (EUR) J

          • Currency

            EUR

          • ISIN

            LU0493470909

          • Distribution mode

            Distribution

        • International Bond (USD) C

          • Currency

            USD

          • ISIN

            LU0079235460

          • Distribution mode

            Capitalization

        • International Bond (USD) D

          • Currency

            USD

          • ISIN

            LU0079235114

          • Distribution mode

            Distribution

        • Institutional Reserved
        • International Bond (USD) I

          • Currency

            USD

          • ISIN

            LU0493470065

          • Distribution mode

            Capitalization

        • Institutional Reserved
        • International Bond (USD) J

          • Currency

            USD

          • ISIN

            LU0493470495

          • Distribution mode

            Distribution

    • Piguet International Fund - World equities

      The Piguet International Fund - World Equities is a Luxembourg SICAV governed by Luxembourg law. It aims to invest mainly in carefully selected funds across various markets based on the bank's investment strategy. The fund's liquidity is available every week.
      Christina Carlsten

      Christina Carlsten

      Analyst Fund Manager

      Piguet International Fund - World equities

      Piguet International Fund - World equities

        • World Equities D (CHF)

          • Currency

            CHF

          • ISIN

            LU0479867532

          • Distribution mode

            Distribution

        • World Equities D (EUR)

          • Currency

            EUR

          • ISIN

            LU0334117230

          • Distribution mode

            Distribution

        • World Equities D (USD)

          • Currency

            USD

          • ISIN

            LU0234577681

          • Distribution mode

            Distribution

    • Piguet Strategies - Piguet Opportunity Fund

      The Piguet Opportunité Fund is a fund of funds that comprises various alternative strategies. Its goal is to outperform 6-month money market deposits with limited volatility. It primarily invests in "Long/Short" equities, "Long/Short" bonds, "Event-Driven," and "Multi-Strategy" strategies to seize identified opportunities.
      Léonard Dorsaz

      Léonard Dorsaz

      Analyst Fund Manager

      Piguet Strategies - Piguet Opportunity Fund

      Piguet Strategies - Piguet Opportunity Fund

        • Reserved for Institutional and Professional Investors
        • Piguet Opportunity Fund C CHF

          • Currency

            CHF

          • ISIN

            LU0721785995

          • Distribution mode

            Capitalization

        • Reserved for Institutional and Professional Investors
        • Piguet Opportunity Fund C EUR

          • Currency

            EUR

          • ISIN

            LU0721785722

          • Distribution mode

            Capitalization

        • Reserved for Institutional and Professional Investors
        • Piguet Opportunity Fund C USD

          • Currency

            USD

          • ISIN

            LU0084093235

          • Distribution mode

            Capitalization

    • Piguet pension strategies - Piguet Active Pension 25

      The Piguet Active Prévoyance 25 is a multi-asset class fund that complies with the standards of legislation on old-age, survivors', and disability pension provision (OPP 2). The compartment is authorised to invest in stocks of companies worldwide (up to 35%), international bonds up to 100%, and real estate up to 15%. The compartment is also authorised to invest in alternative classes (hedge funds & commodities) up to 15%. Cash is allowed up to 25%, and exposure to foreign currencies cannot exceed 30%.

      Vincent Heyberger

      Vincent Heyberger

      Institutional Portfolio Manager

      Piguet pension strategies - Piguet Active Pension 25

      Piguet pension strategies - Piguet Active Pension 25

        • Piguet Active Pension 25 CHF A

          • Currency

            CHF

          • ISIN

            CH1233586721

          • Distribution mode

            Distribution

        • Reserved for qualified investors
        • Piguet Active Pension 25 CHF P

          • Currency

            CHF

          • ISIN

            CH1233586747

          • Distribution mode

            Capitalization

    • Piguet pension strategies - Piguet Active Pension 40

      The Piguet Active Prévoyance 40 is a multi-asset class fund that complies with the standards of legislation on old-age, survivors', and disability pension provision (OPP 2). The compartment is authorised to invest in stocks of companies worldwide (up to 50%), international bonds up to 100%, and real estate up to 15%. The compartment is also authorised to invest in alternative classes (hedge funds & commodities) up to 15%. Cash is allowed up to 25%, and exposure to foreign currencies cannot exceed 30%.
      Vincent Heyberger

      Vincent Heyberger

      Institutional Portfolio Manager

      Piguet pension strategies - Piguet Active Pension 40

      Piguet pension strategies - Piguet Active Pension 40

        • Piguet Active Pension 40 CHF A

          • Currency

            CHF

          • ISIN

            CH1233586754

          • Distribution mode

            Distribution

        • Reserved for qualified investors
        • Piguet Active Pension 40 CHF P

          • Currency

            CHF

          • ISIN

            CH1233586770

          • Distribution mode

            Capitalization

    • Piguet Global Fund - International bond Institutionnals

      The Piguet Global Fund - International Bond is a Luxembourg mutual fund aiming for high returns while preserving capital. It invests in international bond markets, including convertible bonds and bonds with options. The fund is available in CHF, EUR, and USD, offering daily liquidity.
      Daniel Varela

      Daniel Varela

      Chief Investment Officer

      Piguet Global Fund - International bond Institutionnals

      Piguet Global Fund - International bond Institutionnals

        • Institutional Reserved
        • International Bond (CHF) I

          • Currency

            CHF

          • ISIN

            LU0493469307

          • Distribution mode

            Capitalization

        • Institutional Reserved
        • International Bond (CHF) J

          • Currency

            CHF

          • ISIN

            LU0493469729

          • Distribution mode

            Distribution

        • Institutional Reserved
        • International Bond (EUR) I

          • Currency

            EUR

          • ISIN

            LU0493470651

          • Distribution mode

            Capitalization

        • Institutional Reserved
        • International Bond (EUR) J

          • Currency

            EUR

          • ISIN

            LU0493470909

          • Distribution mode

            Distribution

        • Institutional Reserved
        • International Bond (USD) I

          • Currency

            USD

          • ISIN

            LU0493470065

          • Distribution mode

            Capitalization

        • Institutional Reserved
        • International Bond (USD) J

          • Currency

            USD

          • ISIN

            LU0493470495

          • Distribution mode

            Distribution

    • Piguet Fund - Swiss Equities SMID Institutionnals

      The Piguet Fund - Swiss Equities SMID concentrates on the small and mid-cap segment of the Swiss stock market, offering diversification with active management. The portfolio includes innovative and dynamic Swiss companies. The manager may use third-party funds, derivatives, and cash for risk management or opportunity exploitation.
      Daniel Steck

      Daniel Steck

      Analyst Fund Manager

      Piguet Fund - Swiss Equities SMID Institutionnals

      Piguet Fund - Swiss Equities SMID Institutionnals

      Swiss small and mid-cap equity fund.

        • Institutional Reserved
        • Piguet Fund Swiss Equities - SMID I

          • Currency

            CHF

          • ISIN

            CH1148776664

          • Distribution mode

            Distribution

    • Helv-Ethic

      More and more investors recognise the value of a company's social responsibility criteria. It is, therefore, essential to present them with a quality offering that incorporates ethical thinking in the Swiss market.
      Daniel Steck

      Daniel Steck

      Analyst Fund Manager

      Helv-Ethic

      Helv-Ethic

      Investing in Switzerland while being socially responsible.
        • Helv-Ethic

          • Currency

            CHF

          • ISIN

            CH0370025428

          • Category

            Responsible investment ,

    • Disruptive Healthcare

      Living longer and, above all, living better is a major concern for an ever-growing population – those over the age of 65. This improved quality of life comes at a staggering cost to governments. At the same time, traditional pharmaceutical groups struggle to launch new drugs. This certificate offers exposure to the most innovative companies in the health sector.
      Daniel Steck

      Daniel Steck

      Analyst Fund Manager

      Disruptive Healthcare

      Disruptive Healthcare

      Participating in the growth of the innovative medicine sector

        • Disruptive Healthcare

          • Currency

            USD

          • ISIN

            CH0436981986

          • Category

            Innovation ,

    • Smart AI

      Artificial intelligence (AI) is poised to revolutionise entire sectors of the economy by optimising efficiency, reducing costs and opening up new opportunities for growth. By harnessing massive data and advanced algorithms, AI enables faster and more accurate decisions, transforming traditional business models and offering significant innovation potential for companies ready to invest.
      Daniel Steck

      Daniel Steck

      Analyst Fund Manager

      certificat-smart-ai

      Smart AI

      Taking part in the technological revolution linked to Artificial Intelligence

        • Smart AI

          • Currency

            USD

          • ISIN

            CH0359281273

          • Category

            Digitalization , Innovation ,

    • Smart Cities

      The Smart City concept is gaining momentum due to demographic growth, the challenges posed by climate change, and the growing interest in environmentally and socially responsible investment solutions. The Certificate invests in the shares of companies whose strategic focus is on developing products, technologies, or services linked to Smart Cities.
      Christina Carlsten

      Christina Carlsten

      Analyst Fund Manager

      Smart Cities

      Smart Cities

      Participating in the growth of smart cities

        • Smart Cities

          • Currency

            EUR

          • ISIN

            CH0398465085

          • Category

            Demography , Environment , Digitalization ,

    • Women Empowerment

      Women are a key driver of economic growth and corporate profitability. Various academic studies show that greater inclusion of women in the economy should lead to considerable gains. This certificate aims to capitalise on this dynamic and the resulting investment opportunities.

      Christina Carlsten

      Christina Carlsten

      Analyst Fund Manager

      Women Empowerment

      Women Empowerment

      Promoting the full potential of women in the economy.

        • Women Empowerment

          • Currency

            USD

          • ISIN

            CH0519640715

          • Category

            Demography , Responsible investment ,

    • Climate Action

      Responsible investment to mitigate climate change. Climate change will eventually have irreversible repercussions on the planet. The stakes are high, and we all must play our part in preventing environmental disasters for future generations. The "Climate Action" certificate is an investment offer for investors sensitive to the responsibility of protecting the environment while actively capturing the investment opportunities created by this structural theme.

      Ed Yau

      Ed Yau

      Analyst Fund Manager

      Climate Action

      Climate Action

      Contribute to the fight against global warming.

        • Climate Action

          • Currency

            USD

          • ISIN

            CH0478658369

          • Category

            Environment , Responsible investment ,

    • Asian Prosperity

      A certificate designed to capitalise on the growing purchasing power of Asian households. The OECD predicts sustainable long-term growth on the Asian continent and a 5% rise in the "petite bourgeoisie."

      Ed Yau

      Ed Yau

      Analyst Fund Manager

      Asian Prosperity

      Asian Prosperity

      Participating in the growth of the Asian middle class

        • Asian Prosperity

          • Currency

            USD

          • ISIN

            CH0383110886

          • Category

            Demography ,

    • Emerging Markets Best Opportunities

      While it's easy to see emerging markets as a demographic powerhouse for the decades to come, considering them as a homogenous region is undoubtedly an oversimplification. The disparity in economic maturity, combined with the potential for digitisation of the various countries' economies, represents some of the most attractive opportunities in emerging markets.
      Ed Yau

      Ed Yau

      Analyst Fund Manager

      Emerging Markets Best Opportunities

      Emerging Markets Best Opportunities

      Seizing the investment opportunities offered by the digitalisation of emerging economies

        • Emerging Markets Best Opportunities

          • Currency

            USD

          • ISIN

            CH0255766054

          • Category

            Digitalization ,

    • Piguet Galland Mega-trends CHF

      The popularity of thematic management continues to grow. Far removed from traditional management methods yet complementary, thematic management provides exposure to the long-term trends that characterise society in perpetual evolution. Combining our favourite themes in a single basket is an attractive solution for investors exploring this approach. Our team of analysts managing the Mega Trends portfolio can provide more information.
      Ed Yau

      Ed Yau

      Analyst Fund Manager

      Piguet Galland Mega-trends CHF

      Piguet Galland Mega-trends CHF

      A summary of our strongest thematic convictions

        • Piguet Galland Mega Trends CHF

          • Currency

            CHF

          • ISIN

            CH0545434042

          • Category

This site contains information relating to a large number of investment funds registered and managed in different jurisdictions. The information on this website is not directed to any person in any jurisdiction where (because of that person's nationality, residence or otherwise) the distribution of or access to this website is prohibited. Persons subject to such local restrictions must not access this website. The information published on this site constitutes neither a solicitation nor an offer nor a recommendation to buy or sell or to engage in any other transaction in investment instruments. More information

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  • This site contains information relating to a large number of investment funds registered and managed in different jurisdictions. The information on this website is not directed to any person in any jurisdiction where (by reason of that person's nationality, residence or otherwise) the distribution of or access to this website is prohibited. Persons subject to such local restrictions must not access this website. The information published on this website does not constitute a solicitation or an offer or a recommendation to buy or sell or to enter into any other transaction in investment instruments. Further information

North America A Equities

Selection of North American equities and equity funds.

Daniel Steck

Daniel Steck

Analyst Fund Manager

LinkedIn profile of Daniel Steck

Daniel Steck has nearly 25 years of experience in finance. After a first experience in financial analysis at Lombard Odier, particularly in the health sector, he continued his career at Reyl & Cie, as an analyst and portfolio manager. He joined Piguet Galland in 2018 as a senior manager and is responsible for the management of various thematic certificates and equity funds in Switzerland and North America.

Read more
Institutional Reserved

North America I Equities

Selection of North American equities and equity funds.

Daniel Steck

Daniel Steck

Analyst Fund Manager

LinkedIn profile of Daniel Steck

Daniel Steck has nearly 25 years of experience in finance. After a first experience in financial analysis at Lombard Odier, particularly in the health sector, he continued his career at Reyl & Cie, as an analyst and portfolio manager. He joined Piguet Galland in 2018 as a senior manager and is responsible for the management of various thematic certificates and equity funds in Switzerland and North America.

Read more

Asia-Pacific Equities ex-Japan A

Strategy focused on Asian stocks in the Pacific Basin, with the exception of Japan.

Ed Yau

Ed Yau

Analyst Fund Manager

LinkedIn profile of Ed Yau
Ed Yau is an Asian market specialist with 20 years of experience in managing equity portfolios. He previously worked as Head of Research in several Hedge Funds in Switzerland and Singapore. An HES engineer by training, he also holds a degree from the University of Geneva and an MBA from the University of Chicago. He joined the Bank in 2018 and became a member of the investment committee, in charge of managing several thematic certificates and equity funds, as well as setting up ESG investments.
Read more
Institutional Reserved

Asia-Pacific Equities ex-Japan I

Strategy focused on Asian stocks in the Pacific Basin, with the exception of Japan.

Ed Yau

Ed Yau

Analyst Fund Manager

LinkedIn profile of Ed Yau
Ed Yau is an Asian market specialist with 20 years of experience in managing equity portfolios. He previously worked as Head of Research in several Hedge Funds in Switzerland and Singapore. An HES engineer by training, he also holds a degree from the University of Geneva and an MBA from the University of Chicago. He joined the Bank in 2018 and became a member of the investment committee, in charge of managing several thematic certificates and equity funds, as well as setting up ESG investments.
Read more

Japan A Equities

Selection of Japanese equities and equity funds.

Ed Yau

Ed Yau

Analyst Fund Manager

LinkedIn profile of Ed Yau
Ed Yau is an Asian market specialist with 20 years of experience in managing equity portfolios. He previously worked as Head of Research in several Hedge Funds in Switzerland and Singapore. An HES engineer by training, he also holds a degree from the University of Geneva and an MBA from the University of Chicago. He joined the Bank in 2018 and became a member of the investment committee, in charge of managing several thematic certificates and equity funds, as well as setting up ESG investments.
Read more
Institutional Reserved

Japan I Equities

Selection of Japanese equities and equity funds.

Ed Yau

Ed Yau

Analyst Fund Manager

LinkedIn profile of Ed Yau
Ed Yau is an Asian market specialist with 20 years of experience in managing equity portfolios. He previously worked as Head of Research in several Hedge Funds in Switzerland and Singapore. An HES engineer by training, he also holds a degree from the University of Geneva and an MBA from the University of Chicago. He joined the Bank in 2018 and became a member of the investment committee, in charge of managing several thematic certificates and equity funds, as well as setting up ESG investments.
Read more

Pan-European Equities A

Selection of European equities and equity funds.

Christina Carlsten

Christina Carlsten

Analyst Fund Manager

LinkedIn profile of Christina Carlsten
Christina Carlsten has been an analyst and senior manager on European markets with Piguet Galland since 1997. She began her career at Banque Scandinave in Switzerland with private clients and then moved on to financial analysis and fund management. Within the Bank, she is responsible for the management of thematic certificates and funds invested in European and global equities. She holds a degree in economics from the University of Lund (Sweden).
Read more
Institutional Reserved

Pan-European Equities I

Selection of European equities and equity funds.

Christina Carlsten

Christina Carlsten

Analyst Fund Manager

LinkedIn profile of Christina Carlsten
Christina Carlsten has been an analyst and senior manager on European markets with Piguet Galland since 1997. She began her career at Banque Scandinave in Switzerland with private clients and then moved on to financial analysis and fund management. Within the Bank, she is responsible for the management of thematic certificates and funds invested in European and global equities. She holds a degree in economics from the University of Lund (Sweden).
Read more

Swiss Equities A

Swiss equity funds, particularly in the blue chips of the SMI, as well as lesser-known stocks whose potential is sometimes underestimated.

Daniel Steck

Daniel Steck

Analyst Fund Manager

LinkedIn profile of Daniel Steck

Daniel Steck has nearly 25 years of experience in finance. After a first experience in financial analysis at Lombard Odier, particularly in the health sector, he continued his career at Reyl & Cie, as an analyst and portfolio manager. He joined Piguet Galland in 2018 as a senior manager and is responsible for the management of various thematic certificates and equity funds in Switzerland and North America.

Read more
Institutional Reserved

Swiss Equities I

Swiss equity funds, particularly in the blue chips of the SMI, as well as lesser-known stocks whose potential is sometimes underestimated.

Daniel Steck

Daniel Steck

Analyst Fund Manager

LinkedIn profile of Daniel Steck

Daniel Steck has nearly 25 years of experience in finance. After a first experience in financial analysis at Lombard Odier, particularly in the health sector, he continued his career at Reyl & Cie, as an analyst and portfolio manager. He joined Piguet Galland in 2018 as a senior manager and is responsible for the management of various thematic certificates and equity funds in Switzerland and North America.

Read more
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Piguet Fund Swiss Equities - SMID A

Swiss small and mid-cap equity fund.

Daniel Steck

Daniel Steck

Analyst Fund Manager

LinkedIn profile of Daniel Steck

Daniel Steck has nearly 25 years of experience in finance. After a first experience in financial analysis at Lombard Odier, particularly in the health sector, he continued his career at Reyl & Cie, as an analyst and portfolio manager. He joined Piguet Galland in 2018 as a senior manager and is responsible for the management of various thematic certificates and equity funds in Switzerland and North America.

Read more
Institutional Reserved

Piguet Fund Swiss Equities - SMID I

Swiss small and mid-cap equity fund.

Daniel Steck

Daniel Steck

Analyst Fund Manager

LinkedIn profile of Daniel Steck

Daniel Steck has nearly 25 years of experience in finance. After a first experience in financial analysis at Lombard Odier, particularly in the health sector, he continued his career at Reyl & Cie, as an analyst and portfolio manager. He joined Piguet Galland in 2018 as a senior manager and is responsible for the management of various thematic certificates and equity funds in Switzerland and North America.

Read more

Weighted (EUR) A

Asset allocation funds with a balanced risk profile.

Claudia Dorsaz

Claudia Dorsaz

Analyst Fund Manager

Claudia Dorsaz holds a degree in economics from Bocconi University in Milan, a master's degree in international economics from the HEI in Geneva and a CFA diploma. She joined Banque Piguet & Cie in 2007 as an emerging markets financial analyst. In 2010, Claudia participated in the creation of the centralised management service, where she continued her career. Since 2018, she has also been responsible for managing the Piguet Pondéré fund.
Read more

Weighted (CHF) A

Asset allocation funds with a balanced risk profile.

Claudia Dorsaz

Claudia Dorsaz

Analyst Fund Manager

Claudia Dorsaz holds a degree in economics from Bocconi University in Milan, a master's degree in international economics from the HEI in Geneva and a CFA diploma. She joined Banque Piguet & Cie in 2007 as an emerging markets financial analyst. In 2010, Claudia participated in the creation of the centralised management service, where she continued her career. Since 2018, she has also been responsible for managing the Piguet Pondéré fund.
Read more

Weighted (USD) A

Asset allocation funds with a balanced risk profile.

Claudia Dorsaz

Claudia Dorsaz

Analyst Fund Manager

Claudia Dorsaz holds a degree in economics from Bocconi University in Milan, a master's degree in international economics from the HEI in Geneva and a CFA diploma. She joined Banque Piguet & Cie in 2007 as an emerging markets financial analyst. In 2010, Claudia participated in the creation of the centralised management service, where she continued her career. Since 2018, she has also been responsible for managing the Piguet Pondéré fund.
Read more

International Bond (CHF) C

Its objective: to achieve a high return by investing in international bond markets.

Daniel Varela

Daniel Varela

Chief Investment Officer

LinkedIn profile of Daniel Varela

Daniel Varela holds a degree in business administration with a specialisation in finance from the University of Geneva and began his career in 1989 as a fixed income manager. He joined Banque Piguet & Cie in 1999 as head of institutional asset management and with responsibility for bond analysis and management. In 2011, he became head of the investment strategy and Piguet Galland's investment department. In 2012, he joined Piguet Galland's Executive Committee as CIO.

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International Bond (CHF) D

Its objective: to achieve a high return by investing in international bond markets.

Daniel Varela

Daniel Varela

Chief Investment Officer

LinkedIn profile of Daniel Varela

Daniel Varela holds a degree in business administration with a specialisation in finance from the University of Geneva and began his career in 1989 as a fixed income manager. He joined Banque Piguet & Cie in 1999 as head of institutional asset management and with responsibility for bond analysis and management. In 2011, he became head of the investment strategy and Piguet Galland's investment department. In 2012, he joined Piguet Galland's Executive Committee as CIO.

Read more
Institutional Reserved

International Bond (CHF) I

Its objective: to achieve a high return by investing in international bond markets.

Daniel Varela

Daniel Varela

Chief Investment Officer

LinkedIn profile of Daniel Varela

Daniel Varela holds a degree in business administration with a specialisation in finance from the University of Geneva and began his career in 1989 as a fixed income manager. He joined Banque Piguet & Cie in 1999 as head of institutional asset management and with responsibility for bond analysis and management. In 2011, he became head of the investment strategy and Piguet Galland's investment department. In 2012, he joined Piguet Galland's Executive Committee as CIO.

Read more
Institutional Reserved

International Bond (CHF) J

Its objective: to achieve a high return by investing in international bond markets.
Daniel Varela

Daniel Varela

Chief Investment Officer

LinkedIn profile of Daniel Varela

Daniel Varela holds a degree in business administration with a specialisation in finance from the University of Geneva and began his career in 1989 as a fixed income manager. He joined Banque Piguet & Cie in 1999 as head of institutional asset management and with responsibility for bond analysis and management. In 2011, he became head of the investment strategy and Piguet Galland's investment department. In 2012, he joined Piguet Galland's Executive Committee as CIO.

Read more

International Bond (EUR) C

Its objective: to achieve a high return by investing in international bond markets.

Daniel Varela

Daniel Varela

Chief Investment Officer

LinkedIn profile of Daniel Varela

Daniel Varela holds a degree in business administration with a specialisation in finance from the University of Geneva and began his career in 1989 as a fixed income manager. He joined Banque Piguet & Cie in 1999 as head of institutional asset management and with responsibility for bond analysis and management. In 2011, he became head of the investment strategy and Piguet Galland's investment department. In 2012, he joined Piguet Galland's Executive Committee as CIO.

Read more
Institutional Reserved

International Bond (EUR) I

Its objective: to achieve a high return by investing in international bond markets.

Daniel Varela

Daniel Varela

Chief Investment Officer

LinkedIn profile of Daniel Varela

Daniel Varela holds a degree in business administration with a specialisation in finance from the University of Geneva and began his career in 1989 as a fixed income manager. He joined Banque Piguet & Cie in 1999 as head of institutional asset management and with responsibility for bond analysis and management. In 2011, he became head of the investment strategy and Piguet Galland's investment department. In 2012, he joined Piguet Galland's Executive Committee as CIO.

Read more
Institutional Reserved

International Bond (EUR) J

Its objective: to achieve a high return by investing in international bond markets.

Daniel Varela

Daniel Varela

Chief Investment Officer

LinkedIn profile of Daniel Varela

Daniel Varela holds a degree in business administration with a specialisation in finance from the University of Geneva and began his career in 1989 as a fixed income manager. He joined Banque Piguet & Cie in 1999 as head of institutional asset management and with responsibility for bond analysis and management. In 2011, he became head of the investment strategy and Piguet Galland's investment department. In 2012, he joined Piguet Galland's Executive Committee as CIO.

Read more

International Bond (USD) C

Its objective: to achieve a high return by investing in international bond markets.

Daniel Varela

Daniel Varela

Chief Investment Officer

LinkedIn profile of Daniel Varela

Daniel Varela holds a degree in business administration with a specialisation in finance from the University of Geneva and began his career in 1989 as a fixed income manager. He joined Banque Piguet & Cie in 1999 as head of institutional asset management and with responsibility for bond analysis and management. In 2011, he became head of the investment strategy and Piguet Galland's investment department. In 2012, he joined Piguet Galland's Executive Committee as CIO.

Read more
Institutional Reserved

International Bond (USD) I

Its objective: to achieve a high return by investing in international bond markets.

Daniel Varela

Daniel Varela

Chief Investment Officer

LinkedIn profile of Daniel Varela

Daniel Varela holds a degree in business administration with a specialisation in finance from the University of Geneva and began his career in 1989 as a fixed income manager. He joined Banque Piguet & Cie in 1999 as head of institutional asset management and with responsibility for bond analysis and management. In 2011, he became head of the investment strategy and Piguet Galland's investment department. In 2012, he joined Piguet Galland's Executive Committee as CIO.

Read more

International Bond (EUR) D

Its objective: to achieve a high return by investing in international bond markets.

Daniel Varela

Daniel Varela

Chief Investment Officer

LinkedIn profile of Daniel Varela

Daniel Varela holds a degree in business administration with a specialisation in finance from the University of Geneva and began his career in 1989 as a fixed income manager. He joined Banque Piguet & Cie in 1999 as head of institutional asset management and with responsibility for bond analysis and management. In 2011, he became head of the investment strategy and Piguet Galland's investment department. In 2012, he joined Piguet Galland's Executive Committee as CIO.

Read more

International Bond (USD) D

Its objective: to achieve a high return by investing in international bond markets.

Daniel Varela

Daniel Varela

Chief Investment Officer

LinkedIn profile of Daniel Varela

Daniel Varela holds a degree in business administration with a specialisation in finance from the University of Geneva and began his career in 1989 as a fixed income manager. He joined Banque Piguet & Cie in 1999 as head of institutional asset management and with responsibility for bond analysis and management. In 2011, he became head of the investment strategy and Piguet Galland's investment department. In 2012, he joined Piguet Galland's Executive Committee as CIO.

Read more
Institutional Reserved

International Bond (USD) J

Its objective: to achieve a high return by investing in international bond markets.

Daniel Varela

Daniel Varela

Chief Investment Officer

LinkedIn profile of Daniel Varela

Daniel Varela holds a degree in business administration with a specialisation in finance from the University of Geneva and began his career in 1989 as a fixed income manager. He joined Banque Piguet & Cie in 1999 as head of institutional asset management and with responsibility for bond analysis and management. In 2011, he became head of the investment strategy and Piguet Galland's investment department. In 2012, he joined Piguet Galland's Executive Committee as CIO.

Read more

World Equities D (CHF)

Selection of equities and global equity funds.
Christina Carlsten

Christina Carlsten

Analyst Fund Manager

LinkedIn profile of Christina Carlsten
Christina Carlsten has been an analyst and senior manager on European markets with Piguet Galland since 1997. She began her career at Banque Scandinave in Switzerland with private clients and then moved on to financial analysis and fund management. Within the Bank, she is responsible for the management of thematic certificates and funds invested in European and global equities. She holds a degree in economics from the University of Lund (Sweden).
Read more

World Equities D (EUR)

Selection of equities and global equity funds.
Christina Carlsten

Christina Carlsten

Analyst Fund Manager

LinkedIn profile of Christina Carlsten
Christina Carlsten has been an analyst and senior manager on European markets with Piguet Galland since 1997. She began her career at Banque Scandinave in Switzerland with private clients and then moved on to financial analysis and fund management. Within the Bank, she is responsible for the management of thematic certificates and funds invested in European and global equities. She holds a degree in economics from the University of Lund (Sweden).
Read more

World Equities D (USD)

Selection of equities and global equity funds.
Christina Carlsten

Christina Carlsten

Analyst Fund Manager

LinkedIn profile of Christina Carlsten
Christina Carlsten has been an analyst and senior manager on European markets with Piguet Galland since 1997. She began her career at Banque Scandinave in Switzerland with private clients and then moved on to financial analysis and fund management. Within the Bank, she is responsible for the management of thematic certificates and funds invested in European and global equities. She holds a degree in economics from the University of Lund (Sweden).
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Reserved for Institutional and Professional Investors

Piguet Opportunity Fund C USD

Selection of alternative funds.

Léonard Dorsaz

Léonard Dorsaz

Analyst Fund Manager

LinkedIn profile of Léonard Dorsaz
A graduate of the University of Geneva in mathematics, Léonard Dorsaz joined the banking sector and specialised in the selection of funds, more particularly alternative funds. He joined Piguet Galland in 2004, where he heads the department in charge of selecting and monitoring external products and has managed the Piguet Opportunity Fund since 2008. He holds the CIIA diploma.
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Reserved for Institutional and Professional Investors

Piguet Opportunity Fund C CHF

Selection of alternative funds.

Léonard Dorsaz

Léonard Dorsaz

Analyst Fund Manager

LinkedIn profile of Léonard Dorsaz
A graduate of the University of Geneva in mathematics, Léonard Dorsaz joined the banking sector and specialised in the selection of funds, more particularly alternative funds. He joined Piguet Galland in 2004, where he heads the department in charge of selecting and monitoring external products and has managed the Piguet Opportunity Fund since 2008. He holds the CIIA diploma.
Read more
Reserved for Institutional and Professional Investors

Piguet Opportunity Fund C EUR

Selection of alternative funds.

Léonard Dorsaz

Léonard Dorsaz

Analyst Fund Manager

LinkedIn profile of Léonard Dorsaz
A graduate of the University of Geneva in mathematics, Léonard Dorsaz joined the banking sector and specialised in the selection of funds, more particularly alternative funds. He joined Piguet Galland in 2004, where he heads the department in charge of selecting and monitoring external products and has managed the Piguet Opportunity Fund since 2008. He holds the CIIA diploma.
Read more
Reserved for qualified investors

Piguet Active Pension 25 CHF P

Multi-asset class funds that comply with OPP 2 standards.

The P class is reserved for investors within the meaning of Article 38a, paragraph 1 of the OIA.

Vincent Heyberger

Vincent Heyberger

Institutional Portfolio Manager

LinkedIn profile of Vincent Heyberger
Vincent Heyberger holds an MSc in Biotechnology from University College London (UCL). He began his career as an analyst in a fund dedicated to health. He then joined the institutional team of Pictet AM where he contributed to the market strategy plan as well as the management of pension mandates. Vincent joined Piguet Galland in 2020 as an institutional portfolio manager. He manages individual portfolios and Piguet Active Prévoyance 25 and 40 strategies.
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Piguet Active Pension 25 CHF A

Multi-asset class funds that comply with OPP 2 standards.

Vincent Heyberger

Vincent Heyberger

Institutional Portfolio Manager

LinkedIn profile of Vincent Heyberger
Vincent Heyberger holds an MSc in Biotechnology from University College London (UCL). He began his career as an analyst in a fund dedicated to health. He then joined the institutional team of Pictet AM where he contributed to the market strategy plan as well as the management of pension mandates. Vincent joined Piguet Galland in 2020 as an institutional portfolio manager. He manages individual portfolios and Piguet Active Prévoyance 25 and 40 strategies.
Read more

Piguet Active Pension 40 CHF A

Multi-asset class funds that comply with OPP 2 standards.

Vincent Heyberger

Vincent Heyberger

Institutional Portfolio Manager

LinkedIn profile of Vincent Heyberger
Vincent Heyberger holds an MSc in Biotechnology from University College London (UCL). He began his career as an analyst in a fund dedicated to health. He then joined the institutional team of Pictet AM where he contributed to the market strategy plan as well as the management of pension mandates. Vincent joined Piguet Galland in 2020 as an institutional portfolio manager. He manages individual portfolios and Piguet Active Prévoyance 25 and 40 strategies.
Read more
Reserved for qualified investors

Piguet Active Pension 40 CHF P

Multi-asset class funds that comply with OPP 2 standards.

The P class is reserved for investors within the meaning of Article 38a, paragraph 1 of the OIA.

Vincent Heyberger

Vincent Heyberger

Institutional Portfolio Manager

LinkedIn profile of Vincent Heyberger
Vincent Heyberger holds an MSc in Biotechnology from University College London (UCL). He began his career as an analyst in a fund dedicated to health. He then joined the institutional team of Pictet AM where he contributed to the market strategy plan as well as the management of pension mandates. Vincent joined Piguet Galland in 2020 as an institutional portfolio manager. He manages individual portfolios and Piguet Active Prévoyance 25 and 40 strategies.
Read more
Institutional Reserved

International Bond (CHF) I

Its objective: to achieve a high return by investing in international bond markets.

Daniel Varela

Daniel Varela

Chief Investment Officer

LinkedIn profile of Daniel Varela

Daniel Varela holds a degree in business administration with a specialisation in finance from the University of Geneva and began his career in 1989 as a fixed income manager. He joined Banque Piguet & Cie in 1999 as head of institutional asset management and with responsibility for bond analysis and management. In 2011, he became head of the investment strategy and Piguet Galland's investment department. In 2012, he joined Piguet Galland's Executive Committee as CIO.

Read more
Institutional Reserved

International Bond (CHF) J

Its objective: to achieve a high return by investing in international bond markets.
Daniel Varela

Daniel Varela

Chief Investment Officer

LinkedIn profile of Daniel Varela

Daniel Varela holds a degree in business administration with a specialisation in finance from the University of Geneva and began his career in 1989 as a fixed income manager. He joined Banque Piguet & Cie in 1999 as head of institutional asset management and with responsibility for bond analysis and management. In 2011, he became head of the investment strategy and Piguet Galland's investment department. In 2012, he joined Piguet Galland's Executive Committee as CIO.

Read more
Institutional Reserved

International Bond (EUR) I

Its objective: to achieve a high return by investing in international bond markets.

Daniel Varela

Daniel Varela

Chief Investment Officer

LinkedIn profile of Daniel Varela

Daniel Varela holds a degree in business administration with a specialisation in finance from the University of Geneva and began his career in 1989 as a fixed income manager. He joined Banque Piguet & Cie in 1999 as head of institutional asset management and with responsibility for bond analysis and management. In 2011, he became head of the investment strategy and Piguet Galland's investment department. In 2012, he joined Piguet Galland's Executive Committee as CIO.

Read more
Institutional Reserved

International Bond (EUR) J

Its objective: to achieve a high return by investing in international bond markets.

Daniel Varela

Daniel Varela

Chief Investment Officer

LinkedIn profile of Daniel Varela

Daniel Varela holds a degree in business administration with a specialisation in finance from the University of Geneva and began his career in 1989 as a fixed income manager. He joined Banque Piguet & Cie in 1999 as head of institutional asset management and with responsibility for bond analysis and management. In 2011, he became head of the investment strategy and Piguet Galland's investment department. In 2012, he joined Piguet Galland's Executive Committee as CIO.

Read more
Institutional Reserved

International Bond (USD) I

Its objective: to achieve a high return by investing in international bond markets.

Daniel Varela

Daniel Varela

Chief Investment Officer

LinkedIn profile of Daniel Varela

Daniel Varela holds a degree in business administration with a specialisation in finance from the University of Geneva and began his career in 1989 as a fixed income manager. He joined Banque Piguet & Cie in 1999 as head of institutional asset management and with responsibility for bond analysis and management. In 2011, he became head of the investment strategy and Piguet Galland's investment department. In 2012, he joined Piguet Galland's Executive Committee as CIO.

Read more
Institutional Reserved

International Bond (USD) J

Its objective: to achieve a high return by investing in international bond markets.

Daniel Varela

Daniel Varela

Chief Investment Officer

LinkedIn profile of Daniel Varela

Daniel Varela holds a degree in business administration with a specialisation in finance from the University of Geneva and began his career in 1989 as a fixed income manager. He joined Banque Piguet & Cie in 1999 as head of institutional asset management and with responsibility for bond analysis and management. In 2011, he became head of the investment strategy and Piguet Galland's investment department. In 2012, he joined Piguet Galland's Executive Committee as CIO.

Read more
6nNzYqstC3Q
Institutional Reserved

Piguet Fund Swiss Equities - SMID I

Swiss small and mid-cap equity fund.

Daniel Steck

Daniel Steck

Analyst Fund Manager

LinkedIn profile of Daniel Steck

Daniel Steck has nearly 25 years of experience in finance. After a first experience in financial analysis at Lombard Odier, particularly in the health sector, he continued his career at Reyl & Cie, as an analyst and portfolio manager. He joined Piguet Galland in 2018 as a senior manager and is responsible for the management of various thematic certificates and equity funds in Switzerland and North America.

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Ds79FYU8Uhg?si=I309f9FqSEXLhyun

Helv-Ethic

Investing in Switzerland while being socially responsible.

Daniel Steck

Daniel Steck

Analyst Fund Manager

LinkedIn profile of Daniel Steck

Daniel Steck has nearly 25 years of experience in finance. After a first experience in financial analysis at Lombard Odier, particularly in the health sector, he continued his career at Reyl & Cie, as an analyst and portfolio manager. He joined Piguet Galland in 2018 as a senior manager and is responsible for the management of various thematic certificates and equity funds in Switzerland and North America.

Read more
RIk6Ri1uVN0

Disruptive Healthcare

Participating in the growth of the innovative medicine sector.

Daniel Steck

Daniel Steck

Analyst Fund Manager

LinkedIn profile of Daniel Steck

Daniel Steck has nearly 25 years of experience in finance. After a first experience in financial analysis at Lombard Odier, particularly in the health sector, he continued his career at Reyl & Cie, as an analyst and portfolio manager. He joined Piguet Galland in 2018 as a senior manager and is responsible for the management of various thematic certificates and equity funds in Switzerland and North America.

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Smart AI

Taking part in the technological revolution linked to Artificial Intelligence

Daniel Steck

Daniel Steck

Analyst Fund Manager

LinkedIn profile of Daniel Steck

Daniel Steck has nearly 25 years of experience in finance. After a first experience in financial analysis at Lombard Odier, particularly in the health sector, he continued his career at Reyl & Cie, as an analyst and portfolio manager. He joined Piguet Galland in 2018 as a senior manager and is responsible for the management of various thematic certificates and equity funds in Switzerland and North America.

Read more
GT9GCcLKpHs?si=9rRAWo2yT4U5p9l8

Smart Cities

Participating in the growth of smart cities

Christina Carlsten

Christina Carlsten

Analyst Fund Manager

LinkedIn profile of Christina Carlsten
Christina Carlsten has been an analyst and senior manager on European markets with Piguet Galland since 1997. She began her career at Banque Scandinave in Switzerland with private clients and then moved on to financial analysis and fund management. Within the Bank, she is responsible for the management of thematic certificates and funds invested in European and global equities. She holds a degree in economics from the University of Lund (Sweden).
Read more
aSqTD_H_zvY?si=TictH1unLnE55XZU

Women Empowerment

Promoting the full potential of women in the economy.

Christina Carlsten

Christina Carlsten

Analyst Fund Manager

LinkedIn profile of Christina Carlsten
Christina Carlsten has been an analyst and senior manager on European markets with Piguet Galland since 1997. She began her career at Banque Scandinave in Switzerland with private clients and then moved on to financial analysis and fund management. Within the Bank, she is responsible for the management of thematic certificates and funds invested in European and global equities. She holds a degree in economics from the University of Lund (Sweden).
Read more
f55p800NWEo?si=XmeizYqJcd-AZij3

Climate Action

Contribute to the fight against global warming.

Ed Yau

Ed Yau

Analyst Fund Manager

LinkedIn profile of Ed Yau
Ed Yau is an Asian market specialist with 20 years of experience in managing equity portfolios. He previously worked as Head of Research in several Hedge Funds in Switzerland and Singapore. An HES engineer by training, he also holds a degree from the University of Geneva and an MBA from the University of Chicago. He joined the Bank in 2018 and became a member of the investment committee, in charge of managing several thematic certificates and equity funds, as well as setting up ESG investments.
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Asian Prosperity

Participating in the growth of the Asian middle class.

Ed Yau

Ed Yau

Analyst Fund Manager

LinkedIn profile of Ed Yau
Ed Yau is an Asian market specialist with 20 years of experience in managing equity portfolios. He previously worked as Head of Research in several Hedge Funds in Switzerland and Singapore. An HES engineer by training, he also holds a degree from the University of Geneva and an MBA from the University of Chicago. He joined the Bank in 2018 and became a member of the investment committee, in charge of managing several thematic certificates and equity funds, as well as setting up ESG investments.
Read more
MjUPoJwtTXA

Emerging Markets Best Opportunities

Seizing the investment opportunities offered by the digitalization of emerging economies.

Ed Yau

Ed Yau

Analyst Fund Manager

LinkedIn profile of Ed Yau
Ed Yau is an Asian market specialist with 20 years of experience in managing equity portfolios. He previously worked as Head of Research in several Hedge Funds in Switzerland and Singapore. An HES engineer by training, he also holds a degree from the University of Geneva and an MBA from the University of Chicago. He joined the Bank in 2018 and became a member of the investment committee, in charge of managing several thematic certificates and equity funds, as well as setting up ESG investments.
Read more
IUverjdx6i4?si=WVvhpWwrlsnlUBBH

Piguet Galland Mega Trends CHF

A summary of our strongest thematic convictions.

Ed Yau

Ed Yau

Analyst Fund Manager

LinkedIn profile of Ed Yau
Ed Yau is an Asian market specialist with 20 years of experience in managing equity portfolios. He previously worked as Head of Research in several Hedge Funds in Switzerland and Singapore. An HES engineer by training, he also holds a degree from the University of Geneva and an MBA from the University of Chicago. He joined the Bank in 2018 and became a member of the investment committee, in charge of managing several thematic certificates and equity funds, as well as setting up ESG investments.
Read more