Christoph Freiherr von Ende
Diplom-Volkswirt, CIIA
Vermögensverwalter(The company name is only visible to registered members)
- 81675 München
- Germany
Personal information
Professional experience (9 years, 5 months)
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Jan 2012
- present
(5 months)
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(The company name is only visible to registered members)
Industry: Financial Services, Vermögensverwaltung, Family Office
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Jan 2012
- present
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Apr 2008
- Dec 2011
(3 years, 9 months)
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Prokurist / Client Relationship Manager
Commerzbank AG Wealth Management, http://www.wealthmanagement.commerzbank.de
Industry: Financial Services, Private Wealth Management, Private Banking, Vermögensverwaltung, Financial Planning
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Apr 2008
- Dec 2011
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Jan 2005
- Mar 2008
(3 years, 3 months)
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Interhyp AG, http://www.interhyp.de
Industry: Financial Services
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Jan 2005
- Mar 2008
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Aug 1997
- Jul 1999
(2 years)
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Commerzbank AG Göttingen, http://www.commerzbank.de
Industry: Banking
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Aug 1997
- Jul 1999
- Employment status
- Employee
Educational background
- Mar 2010
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GARP - Global Association of Risk Professionals
FRM® - Financial Risk Manager, http://www.garp.com
Financial Markets and Products, Foundations of Risk Management, Quantitative Analysis, Valuation and Risk Models, Market Risk Measurement and Management, Credit Risk Measurement and Management, Operational and Integrated RM, RM and Investment Management, Current Issues in Financial Markets
- Oct 2009
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CFA Institute
CFA® - Chartered Financial Analyst, http://www.cfainstitute.org
I. Ethical and Professional Standard, II. Quantitative Methods, III. Economics, IV. Financial Reporting and Analysis, V. Corporate Finance, VI. Equity Investments, VII. Fixed Income, VIII. Derivatives, IX. Alternative Investments, X. Portfolio Management and Wealth Planning
- Mar 2009 - Sep 2009
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DVFA - Deutsche Vereinigung für Finanzanalyse und Asset Management
CIIA® - Certified International Investment Analyst, http://www.dvfa.de
Regulation (EU, Germany), Market Structures and Instruments, Economics, Financial Accounting and Financial Statement Analysis, Equity Valuation and Analysis, Corporate Finance, Fixed Income Valuation and Analysis, Derivative Valuation and Analysis, Portfolio Management
- Jun 2008 - Jan 2009
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Ludwig-Maximilians-Universität München (LMU)
Institut für Kapitalmarktforschung und Finanzierung (KMF), Berater Private Banking (cert.)
Marktstrukturen u. -usancen, VWL, Finanzmathematik, Rentenanalyse u. -strategie, Ratings, fundamentale u. technische Analyse, Indizes, Derivate, Portfoliotheorie u. -management, Alternative Investments, Beteiligungen, Kreditgeschäft, Steuern, Beratungsstandards, Vorsorge
- Oct 1999 - Oct 2004
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Georg-August-Universität Göttingen
Volkswirtschaftslehre, Diplom-Volkswirt
Wahlfächer: Versicherungswissenschaft, Unternehmensrechnung und -leitung. Diplomarbeit: "Produkt- u. Unternehmensratings in der Lebensversicherung"
- Languages
- German (First language), English (Good knowledge), Großes Latinum
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