Profile
Nerea Heras-Mendaza currently works at Santander Asset Management SA SGIIC, as Portfolio Manager from 2008.
Ms. Heras-Mendaza also formerly worked at AXA Investment Managers (Paris) SA, as Portfolio Manager, AXA Investment Managers Deutschland GmbH, as Portfolio Manager from 2003 to 2006, and Man Group Investments Ltd., as Portfolio Manager in 2008.
Nerea Heras-Mendaza active positions
| Companies | Position | Start |
|---|---|---|
Santander Asset Management SA SGIIC
Santander Asset Management SA SGIIC Investment ManagersFinance Santander AM is an active, fundamental, value-oriented manager which invests in global debt and equity across sectors and market-caps. The firm aims to purchase assets which are undervalued but without negative momentum. They combine a bottom-up approach to fundamental analysis with a rigorous risk management process, in order to achieve an active return (alpha) in their investment portfolios. | Portfolio Manager-Equities | 01/06/2008 |
Former positions of Nerea Heras-Mendaza
| Companies | Position | End |
|---|---|---|
Man Group Investments Ltd.
Man Group Investments Ltd. Investment ManagersFinance MGI is an active, collaborative manager which aims to achieve consistent superior returns. They adhere to client-focused product development and customer service in both traditional and alternative asset management. The firm's fund managers express their individual investment styles and meet regularly with companies, brokers and consultants, analyzing quantitative models or completing their own proprietary research. They base investment decisions on fundamental research, tactical trading and a wide range of industry contacts and employ a rigorous risk management process. | Portfolio Manager-Equities | 30/04/2008 |
AXA Investment Managers Deutschland GmbH
AXA Investment Managers Deutschland GmbH Investment ManagersFinance AXA IM DE actively seeks opportunities that will provide long-term investment growth while attempting to minimize volatility. They have a variety of funds that target specific financial objectives for investors. | Portfolio Manager-Equities | 24/04/2006 |
AXA Investment Managers (Paris) SA
AXA Investment Managers (Paris) SA Investment ManagersFinance AXA-IM Paris is an active, long-term manager which utilizes a quantitative investment approach that analyzes fundamental data culled through in-house and external research. They employ growth strategies based on bottom-up stock selection. The firm’s analysts work closely with portfolio managers to perform proprietary quantitative risk management. The investment teams tend to be small and are specialized by investment type, sector, region and product type. | 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 | 4 |
|---|---|
AXA Investment Managers (Paris) SA
AXA Investment Managers (Paris) SA Investment ManagersFinance AXA-IM Paris is an active, long-term manager which utilizes a quantitative investment approach that analyzes fundamental data culled through in-house and external research. They employ growth strategies based on bottom-up stock selection. The firm’s analysts work closely with portfolio managers to perform proprietary quantitative risk management. The investment teams tend to be small and are specialized by investment type, sector, region and product type. | Finance |
AXA Investment Managers Deutschland GmbH
AXA Investment Managers Deutschland GmbH Investment ManagersFinance AXA IM DE actively seeks opportunities that will provide long-term investment growth while attempting to minimize volatility. They have a variety of funds that target specific financial objectives for investors. | Finance |
Santander Asset Management SA SGIIC
Santander Asset Management SA SGIIC Investment ManagersFinance Santander AM is an active, fundamental, value-oriented manager which invests in global debt and equity across sectors and market-caps. The firm aims to purchase assets which are undervalued but without negative momentum. They combine a bottom-up approach to fundamental analysis with a rigorous risk management process, in order to achieve an active return (alpha) in their investment portfolios. | Finance |
Man Group Investments Ltd.
Man Group Investments Ltd. Investment ManagersFinance MGI is an active, collaborative manager which aims to achieve consistent superior returns. They adhere to client-focused product development and customer service in both traditional and alternative asset management. The firm's fund managers express their individual investment styles and meet regularly with companies, brokers and consultants, analyzing quantitative models or completing their own proprietary research. They base investment decisions on fundamental research, tactical trading and a wide range of industry contacts and employ a rigorous risk management process. | Finance |
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