Join us for a Target Net Zero workshop with Lombard Odier Investment Managers (LOIM), where LOIM offers insights into their forward-looking approach regarding portfolio temperature and CO2 development (Scope1-3) and the implementation in the investment process and portfolio construction of their Target Net Zero equity strategies.
During the development, it was essential for Lombard Odier to be as close as possible to the standard benchmarks like MSCI World (max. tracking error 1%) aiming to maintain performance with a lower carbon footprint and reduce the portfolio temperature to below 2 degrees.
LOIM would be happy to discuss additional services with you personally on site, ranging from reporting or implementation with your own guidelines to advisory services.
The following constraints compared to the benchmark were implemented
- portfolio temperature below 2 degrees
- ESG rating above benchmark
- only small deviations on company, country, sector, region, and style
Roadshow in Frankfurt/Main and Munich
14.11.2023 • 11:30 – 14:00h CET
Lombard Odier Germany-Offices • Frankfurt Branch • Reuterweg 49 • 60323 Frankfurt am Main
15.11.2023 • 09:00 – 11:30h CET
Mandarin Oriental Hotel • Neuturmstraße 1 • 80331 Munich
With Nicolas Mieszkalski, Senior Portfolio Manager, a visionary speaker, including interactive discussions, and real-world success stories, they will seek to unravel the secrets around profitable Target Net Zero investing.
Don’t miss this chance to be a part of the crucial movement towards a more sustainable, prosperous, and resilient future. Join us and be inspired to make a lasting impact on the world, while also securing a future for your investments that aligns with your values.
We will meet in Frankfurt at the LOIM offices and round off the event with networking and finger food. In Munich, we will meet for breakfast at the Mandarin Oriental Hotel.
Nicolas Mieszkalski, Portfolio Manager, Systematic Equities
Nicolas is a Senior portfolio manager in the Systematic Equities & Alternatives team at Lombard Odier Investment Managers (LOIM). He co-manages the equity systematic range of funds and mandates. He co-manages the equity systematic range of funds and mandates, and is responsible for the global investment activities. Nicolas originally joined the company in April 2010 as part of an extended internship in the Equity Quantitative Investment team, before working as Risk Manager and then Fixed Income portfolio manager. His experience has also focused on developing and maintaining the LOIM’s quant platform. Nicolas earned an engineering diploma in statistics, specialising in risk management and financial engineering, from ENSAI (L’École nationale de la statistique et de l’analyse de l’information), France in 2010.
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