Part 2: Risk and return on capital markets (cont.); Part 3: International asset pricing theories von Dr. Peter Oertmann

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Über den Vortrag

Der Vortrag „Part 2: Risk and return on capital markets (cont.); Part 3: International asset pricing theories“ von Dr. Peter Oertmann ist Bestandteil des Kurses „International Capital Markets and Investment Practice (WI001157) | SS 2023“.


Dozent des Vortrages Part 2: Risk and return on capital markets (cont.); Part 3: International asset pricing theories

Dr. Peter Oertmann

Dr. Peter Oertmann



Peter Oertmann has been committed for more than 25 years as entrepreneur, mentor and investor for innovations in the field of capital investment. He has built up several companies and has spent many years in executive positions in asset management companies and on investment committees of institutional investors and family businesses. Since the trade sale of the quant-boutique Vescore, which he founded and managed as CEO for 17 years, to a Swiss banking group, he has been supporting young companies dealing with new technologies in asset management as well as professional investors in strategic issues. His mandates and engagements are bundled in pecuneo advice GmbH. He is also an active shareholder and partner of Othoz GmbH, an investment boutique in Berlin specializing in AI-based investment strategies.

He is a lecturer for financial management and capital markets at the Technical University of Munich (TUM) and at the University of Basel, a member of the board of INQUIRE Europe and of the Munich Finance Forum and a member of the Swiss Society for Financial Market Research. He holds a Ph.D. in finance from the University of St. Gallen (HSG), an M.A. in economics from Terry College of Business, University of Georgia, USA and a degree in business administration from the University of Bielefeld. His publications deal with risk premiums and investment strategies in capital markets.

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