SFCS | Asset management & Alternative investment funds
 
 
       
 
     

 

 

Claude Bovet

Claude is Head of Alternative Strategies for the SFCS Group, Managing Director of SFCS Capital Ltd, and Chief Executive Officer of SFCS Capital (Canada) Corp. He has over 20 years of hedge fund and traditional investment management expertise developed at some of the leading hedge fund investment firms in Geneva, Switzerland. Claude is registered as a Portfolio Manager and Ultimate Designated Person with the British Columbia Securities Commission.

From 1997 to 2002, Claude was Head of Portfolio Management and Research and from 2002 to 2005 Chief Investment Officer of the Bucephale Group, a leading Swiss-based fund of hedge fund manager known for the creation and launch, in partnership with Julius Baer, of creInvest, the world's first exchange-traded fund of hedge funds. During this time, Claude created and managed the Bucephale Legends Fund, a multi-manager fund invested in the world's leading hedge funds. From 1993 to 1997, Claude was Senior Portfolio Manager and member of the Investment Committee of Republic National Bank, Geneva, one of the world's largest allocators to hedge funds and now part of HSBC, and from 1989 to 1993 Hedge Funds Product Manager and Financial Consultant at Lehman Brothers and Merrill Lynch in Geneva.

 

Monique Bennett

Monique is Director of SFCS Capital Ltd. She is also Vice President of the Board of SFCS Swiss Financial Consulting Services SA, the wealth management arm of the SFCS Group. Monique has over 20 years of experience in the Geneva private banking sector attained at Bank Leu, one of the private banks of Credit Suisse, and Finter Bank Zurich.

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Investment Committee

Claude Bovet

- See bio above -


Rob Stitt

Rob has over 14 years of professional investment experience with a particular focus on convertible arbitrage. Rob was previously at Vancouver based Canaccord Capital and at the Royal Bank of Canada (RBC). He traded convertible securities for private and institutional accounts, established and operated a convertible bond trading desk and acted as a portfolio advisor to a hedge fund that engaged in arbitrage. Rob is registered as a Portfolio Manager and Compliance Officer with the British Columbia Securities Commission.

Rob holds an Honours degree in Commerce from the University of Manitoba, has achieved the Fellow of the Canadian Securities Institute designation, holds the Canadian Investment Manager designation and has completed level 1 of the Charter Financial Analyst (CFA) designation.

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