Lauri Ström

Alternatives Portfolio Manager at OP Asset Management Ltd.

Lauri Ström

Lauri Ström

Alternatives Portfolio Manager at OP Asset Management Ltd.

Biography

Mr. Lauri Ström, CFA, is a Portfolio Manager at Keskinäinen Eläkevakuutusyhtiö Ilmarinen.

Overview
RelSci Relationships

110

Relationships
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Head-Portfolio Management at eQ Asset Management

Relationship likelihood: Strong

Chief Operating Officer at OP Asset Management Ltd.

Relationship likelihood: Strong

Partner & Director of Capital Markets Financing at OP Asset Management Ltd.

Relationship likelihood: Strong

Head of Risk Management at OP Asset Management Ltd.

Relationship likelihood: Strong

Head of Fund Selection & Portfolio Manager at OP Asset Management Ltd.

Relationship likelihood: Strong

Head of Fund Selection at OP Asset Management Ltd.

Relationship likelihood: Strong

Head, Alternative Investments at OP Asset Management Ltd.

Relationship likelihood: Strong

Portfolio Manager at OP Asset Management Ltd.

Relationship likelihood: Strong

Portfolio Manager at OP Asset Management Ltd.

Relationship likelihood: Strong

Portfolio Manager at OP Asset Management Ltd.

Relationship likelihood: Strong

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Lauri Ström
Alternatives Portfolio Manager at OP Asset Management Ltd.
Career History
Alternatives Portfolio Manager
Current

OPAM is a GARP-oriented manager which invests globally in equity and fixed-income with the bulk of their assets allocated to Finnish securities. Their investemnt process is based on top-down macroeconomic research and aims to identify industry trends. Equity investments are based on bottom-up analysis at the company level.The firm manages a range of investment vehicles including OP mutual funds, private equity, structured investments, hedge fund investments and real estate investments. Their product range is enhanced through partnerships with a number of international asset management firms.

Portfolio Manager
Tenure Unconfirmed

Ilmarinen is an active, profit-oriented investor which manages diversified portfolios comprised primarily in fixed-income, equity and real estate. They invest across sectors and geographic borders with a focus on Finnish securities. They rely on third-party managers for investments in emerging markets, private equity funds and hedge funds.The firm typically establishes annual investment plans, deciding on asset allocation and investment goals. Investment managers aim to outperform the strategic allocation by making tactical deviations when market conditions vary.Ilmarinen generally aims to select companies with good growth potential in which they take long-term positions. They support investment decisions with information obtained through their active ownership policy, which encourages fund managers to participate in shareholders' meetings, make full use of voting rights and keep in contact with the management of investees.

Events
Attendee
Switzerland
2009 EVCA Investors' Forum

Other Affiliations
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