Profile
Mr. Nicolas Jamet, CFA, is a Senior Systematic Equities Fund Manager at RAM Active Investments SA. He is Senior Fund Manager at RAM AI’s Systematic Equity team since 2016.
He co-manages the systematic equity funds, working on the development of low-frequency systematic investment strategies.
He is involved in enhancing AI infrastructure, incorporating sustainability into the fund range and contributes as a member of the Responsible Investment Committee.
He started his career as Portfolio Manager at Société Générale Hong Kong in 2006 and joined Macquarie Group to run a global fundamental quantitative book in 2011.
In 2012, he co-founded Fundamental Dynamics, a hedge fund managing long/short global equity strategies for an institutional mandate.
He graduated in 2005 as a Business Engineer from the ICHEC Brussels Management School and in 2015, he became a CFA Charterholder.
Nicolas Jamet active positions
| Companies | Position | Start |
|---|---|---|
RAM Active Investments SA
RAM Active Investments SA Investment ManagersFinance RAM is an active manager which aims to generate high risk-adjusted returns through a broad diversification of lines and investment styles and enhancing traditional methods of stock picking by applying a systematic and disciplined investment process. For their Long/Short strategies, the objective is to achieve mid to long-term capital appreciation through investments in equities using bottom-up fundamentally driven stock picking strategies applied systematically. The firm’s proprietary model seeks to maximize risk-adjusted returns by trading securities of companies on the long and short side as well as index futures. The final portfolio is the result of an optimal allocation between their long only value, defensive and momentum approaches with individual bottom-up short strategies and short on liquid futures. | Portfolio Manager-Equities | - |
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| Private companies | 1 |
|---|---|
RAM Active Investments SA
RAM Active Investments SA Investment ManagersFinance RAM is an active manager which aims to generate high risk-adjusted returns through a broad diversification of lines and investment styles and enhancing traditional methods of stock picking by applying a systematic and disciplined investment process. For their Long/Short strategies, the objective is to achieve mid to long-term capital appreciation through investments in equities using bottom-up fundamentally driven stock picking strategies applied systematically. The firm’s proprietary model seeks to maximize risk-adjusted returns by trading securities of companies on the long and short side as well as index futures. The final portfolio is the result of an optimal allocation between their long only value, defensive and momentum approaches with individual bottom-up short strategies and short on liquid futures. | Finance |
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