Reducing the risk of loss? Focus on two strategies
Investors are sometimes faced with the situation of wanting to reduce portfolio risks. This can be done either by selling shares or by hedging using options. But which is better?
Senior Portfolio Manager Multi-Asset Solutions
Claude Hess has been with Zürcher Kantonalbank since 2009. He has been part of the Multi-Asset Solutions team since the beginning of 2015.
He manages mixed mandates and the Swisscanto (LU) Portfolio Fund Sustainable Protection fund, which has a systematically integrated hedging strategy and at the same time meets demanding sustainability criteria.
After studying economics with a focus on econometrics at the University of Zurich, Claude Hess worked as a quantitative analyst at an electricity utility company for four years. He then worked for six years in the Treasury department of Zürcher Kantonalbank in the Engineering and Asset Liability Management division. Claude Hess has been a CFA charterholder (Chartered Financial Analyst) since 2010.