Arvid Streimann

Arvid Streimann

Economist at Magellan Asset Management Ltd.

Profile

Mr. Arvid Streimann, CFA, is a Head of Macro & Co-Portfolio Manager at Magellan Asset Management Ltd.
He joined Magellan in 2014 as a Senior Analyst in the Financials Team.
In 2017, he was appointed Head of Macro research and chairs the Macro Committee.
In 2018, he was made a Portfolio Manager and in 2020 he was promoted to co-Portfolio Manager of the Global Equity Strategy.
He is a member of Magellan’s Investment Committee.
Prior to Magellan, Mr. Streimann spent 10 years in the research departments of Morgan Stanley and UBS, covering financial institutions and economics.
Previously, he assisted insurers with their growth strategies at Aon and spent four years in the Reserve Bank of Australia’s economics and financial markets groups.
He holds a Bachelor of Economics (First Class Honors) from the Australian National University and is a CFA charter holder.

Arvid Streimann active positions

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Economist 01/01/2017
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Analyst-Equity -
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