Fabian Ackermann

Head of Overlay Solutions & Systematic Strategies

Fabian Ackermann

Fabian Ackermann has been working in the Asset Management department of Zürcher Kantonalbank in the Overlay Solutions & Systematic Strategies product team since 2007 and has been responsible for the overlay mandates since 2008. He has headed the department since July 2013 and is primarily responsible for the further development of the overlay strategies and the stock selection models.

Fabian Ackermann studied finance at the University of Zurich from 2003 to 2007 and completed his doctorate in quantitative finance at the University of Zurich in 2014, specialising in foreign exchange.

Blog posts

20 years of factor investing: a smoothing of market peaks and troughs

Investing in factor premiums is challenging. Factors are cyclical and there can be setbacks from time to time. But there are recipes for success. What it is really about

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AI: In search of alpha sources

Selected systematic and fundamental equity strategies in Zürcher Kantonalbank's Asset Management division have recently been supported by an AI model.

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How factor investing strengthens the multi-asset portfolio

Achieving an excess return regardless of the market environment - this is possible by picking those companies that perform above average in the factors "value", "quality" and "momentum".

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