Hagen Fuchs joined Zürcher Kantonalbank Asset Management as Senior Portfolio Manager Fixed Income at the beginning of 2020. In this role, he manages global fixed income portfolios, covers issuers from the insurance industry and is our expert for corporate hybrid bonds.
Before joining Zürcher Kantonalbank in 2020, Hagen Fuchs worked for seven years at Baloise Asset Management, where he spent four years as an economist responsible for the tactical asset allocation of insurance assets and worked as a quantitative credit & fixed income analyst from 2017. Prior to that, he gained experience in the areas of investment strategy, private equity and funds of hedge funds at Axa Investment Managers.
Hagen Fuchs studied economics at the University of Mannheim and Toulouse. He completed his Master of Science degree in Financial Economics at City University London with distinction. He also trained as a Financial Risk Manager (FRM) and Certified ESG Analyst (CESGA).
Hagen Fuchs is responsible for the following funds: