Profile
Lars Grandell worked as a Portfolio Manager at Aktia Asset Management Ltd. from 2001 to 2009.
He also worked as a Portfolio Manager at WIP Asset Management Oy.
Former positions of Lars Grandell
| Companies | Position | End |
|---|---|---|
Aktia Asset Management Ltd.
Aktia Asset Management Ltd. Investment ManagersFinance AAM is a growth-oriented investment manager which invests globally in equity and fixed-income with a strong focus on the Finnish market. Their investment process is primarily top-down and based on macro-economic analysis. Fundamental research at the company level informs equity investment decisions, which are based on in-depth sector analysis. In-house analysis is supplemented with outsourced research. The firm seeks to invest in companies with a strong market position, competent management and profit growth potential. | Portfolio Manager-Equities | 31/03/2009 |
WIP Asset Management Oy
WIP Asset Management Oy Investment ManagersFinance WIP follows a growth-oriented investment style, value being only a secondary objective. The firm invests globally in equity securities with the bulk of their assets allocated to equity investments from the Nordic countries and the Baltic region. WIP favours a buy and hold strategy which consists in selecting high quality companies which they hold with a long-term perspective. The firm bases investment decisions on fundamental analysis. Their research process combines top-down macroeconomic research and bottom-up sector and company analyses. The international investment opportunities should be market leading companies, or firms holding a special position in their sector | Portfolio Manager-Equities | - |
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 | 2 |
|---|---|
Aktia Asset Management Ltd.
Aktia Asset Management Ltd. Investment ManagersFinance AAM is a growth-oriented investment manager which invests globally in equity and fixed-income with a strong focus on the Finnish market. Their investment process is primarily top-down and based on macro-economic analysis. Fundamental research at the company level informs equity investment decisions, which are based on in-depth sector analysis. In-house analysis is supplemented with outsourced research. The firm seeks to invest in companies with a strong market position, competent management and profit growth potential. | Finance |
WIP Asset Management Oy
WIP Asset Management Oy Investment ManagersFinance WIP follows a growth-oriented investment style, value being only a secondary objective. The firm invests globally in equity securities with the bulk of their assets allocated to equity investments from the Nordic countries and the Baltic region. WIP favours a buy and hold strategy which consists in selecting high quality companies which they hold with a long-term perspective. The firm bases investment decisions on fundamental analysis. Their research process combines top-down macroeconomic research and bottom-up sector and company analyses. The international investment opportunities should be market leading companies, or firms holding a special position in their sector | Finance |
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