Menu

Charles OGIER

En résumé

Areas of expertise: Strategic advisory, Corporate Finance, Financial Analysis, Valuation, Business plan, Business Development, Competition Analysis, Risk Management, Portfolio Management

Industries covered: Agriculture, Food & Beverages, Cosmetics & pharmaceutical ingredients, Energy, Hard commodities (especially Mining and Metals), Asset Management

Mes compétences :
Business Analysis
Analyse financière
Finance d'entreprise
Fusions acquisitions
Géopolitique
Economie
Conseil stratégique
Valorisation d'entreprise

Entreprises

  • Shiyao Investment Ltd - Senior Business Development Analyst

    2013 - maintenant Strategic advisory and Corporate Finance (M&A) services for agribusiness and life sciences industries in China and Japan.

    Detailed analysis of agricultural and F&B industries, identification of strategic insights, preparation and presentation of recommendations to decision makers.

    Daily tasks: macro/micro analysis of agribusiness industries, financial and strategic analysis of key players, definition of business models, valuation and investment analysis, and engagement of identified targets.
  • Lazard - Financial Analyst

    New York 2010 - 2010 Hedge fund analyst in a convertible arbitrage / even driven fund with several hundred million AUM.

    IPO reviews, financial analysis of companies under different investment horizons and rationals, onsite background checks of hedge funds, hedge fund analysis using KPIs and portfolio management.
  • Konideo - Co-Founder & Editor

    2009 - maintenant Economics and geopolitical blog.

    Wrote over 370 weekly posts, economic analysis, geopolitical essays, and book reviews with particular focus on Asia (especially China).

    Theme covered: energy, environment, political economy, geopolitics, history
  • Quam Asset Management - Financial Analyst

    2008 - 2009 Fund of Funds analyst: screening, identification, and analysis of over 100 European and North America hedge funds with various strategies (credit, L/S equities, event driven...) and risk management.

    Met with over 30 hedge funds for introduction and pre-DD.

    Portfolio management, risk management, KPIs, strategy...
  • ICAP - Intern

    2008 - 2008 Intern on commodities and currencies brokers desk.
  • Various companies - Intern

    2007 - 2007 Factory worker in Saint Gobain Vetrotex (Germany), man's accessory sales in Harvey Nichols (London)...

Formations

  • Tongji University (Shanghai)

    Shanghai 2012 - 2012 Papers on Japanese 1980's bubble and Dubai real estate crisis, in-depth research of Chinese modern history and politics up to 2012 transition.
    Risk management classes.
  • FUDAN University (Shanghai)

    Shanghai 2010 - 2013 Master

    Papers on:
    Japanese 1980's bubble,
    Dubai real estate crisis,
    in-depth research of Chinese modern history and politics up to 2012 transition.
    Financial risk management classes.
    Chinese economic rebalancing,
    Australian hard commodities exports to China,
    and Taiwan-PRC relationship.
  • IESEG, School Of Management

    Lille 2005 - 2013 80 pages paper on Chinese strategy and investments in renewable energy.

Réseau

Annuaire des membres :