Portfolio Manager, Managing Director
"I see myself as the best footballer in the world. If you don't believe you are the best, then you will never achieve all that you are capable of."
As Portfolio Manager of Multi-Asset solutions at RAM AI, Hasan Aslan is responsible for cross-asset investment vehicles offered through a UCITS format, Investment Advisory/Discretionary mandates and certificates. In addition to that, working closely with the Portfolio Managers of the Systematic Equity, Fixed Income and Macro Systematic teams, Hasan acts as the Senior Investment Product Specialist. His role consists of being the link between the investment teams and the distribution/marketing channels of RAM AI. Hasan is also Co-Head of the Client Services and Communication teams.
Throughout his career, Hasan has acquired extensive experience in alternative fund management, risk management, operations, legal and compliance. Before joining RAM, he was co-Head of the Alternative Investment Department at Reyl & Cie where he helped launch several funds and was involved in the management of these products. Prior to that, he worked as Portfolio Manager in charge of hedge fund portfolio construction, management and monitoring of advisory and discretionary accounts for selected institutional investors at Optimal Investment Services SA (Santander Asset Management). He started his career at UBS in the Commercial Clients Department.
Education and qualification
Hasan Aslan holds a Masters Degree in Monetary and Financial Economics, a “Diplôme d’Etudes Approfondies” (DEA) in Economics and Finance, and a Minor in Information Systems from the University of Geneva.