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Uli Krach, Senior Investment Professional

Uli Krach

Senior Investment Professional·Saudi Family Office

Bahrain

Master's degree, Business

Work experience

Total years of experience: 23 years, 6 months

Senior Investment Professional

May 2012 - Present

Saudi Family Office

Manama, Bahrain

May 2012 - Present

Company industry:
Banking
Job role:
Accounting and Auditing

Chief Investment Officer

May 2011 - May 2012

Legatum Capital

Dubai, United Arab Emirates

May 2011 - May 2012

 Co-Managed the multi-billion dollar fund
 Conducted macro analysis across asset classes
 Used a combination of fundamental and technical analysis
 Developed quant stock screens for idea generation
 Conducted in-depth stock analysis, with a focus on EM and BRIC
 Used portfolio management to enhance returns and control risk
 Issued regular research reports and made weekly presentations to team/management

Company industry:
Banking
Job role:
Accounting and Auditing

Senior Portfolio Manager

January 2008 - May 2011

Credit Suisse

Switzerland

January 2008 - May 2011

• Awarded ‘Best Performing Team’ among CSAM Multi Asset Class Solutions (assets of over $ 250BN)
• Minimised loss for individual teams - spearheaded “best in class” trading /portfolio management practices (optimal asset allocation, optimal position sizing, trailing stoploss, technical analysis, systematic strategies and performance optimisation techniques).
• Avoided huge potential losses, as Manager of BRIC-focused fund through employing strong risk methodology, over a period when BRIC equities were slaughtered.
• Increased performance through spearheading portfolio enhancement methodology, subsequently rolled out across the desk. Utilised trading tricks and knowledge rarely known in the Portfolio Management world,
• Enabled CSAM to assert own multi-asset ‘house-view’. Conducted technical & fundamental analysis of equities, commodities and currencies from the top down, and produced a weekly defining document, distributed across the business and to clients, guiding lucrative decisions.
• Introduced systematic stock selection tool that consistently outperformed benchmark performance. Enabled instantaneous analysis / selection of 5000 stocks, combining fundamental and technical factors.
• Solicited $200M in mandates in 12 month period
• Called a major market bottom close to bear market bottom in March 2009: http://www.prlog.org/10161911-perfect-time-to-buy-stocks-says-global-macro-pm.html

Company industry:
Banking
Job role:
Accounting and Auditing

Prop Trader

January 2003 - January 2008

Proprietary Trading

Taiwan

January 2003 - January 2008

Manage prop book

Company industry:
Banking
Job role:
Accounting and Auditing

Education

York University

January 1997

January 1997

Master's degree, Business

Canada

Skills

Risk

Expert

Management

Expert

Management Practices

Expert

Macro

Expert

Portfolio Management

Expert

Risk

Expert

Management

Expert

Management Practices

Expert

Macro

Expert

Portfolio Management

Expert