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Gerald Segler
Gerald Segler is a senior executive at Hannover Re, a global reinsurance company. Here are some key details about his background and role:
Role and Responsibilities
Gerald Segler serves as the Head of Investment and Collateral Management and the Chief Investment Officer at Hannover Re. He is responsible for the asset management of the entire Hannover Re Group, which includes overseeing the Investment & Collateral Management (ICM) department.1
Professional Background
Before joining Hannover Re in 2003, Segler worked as an Assistant Vice President at AP Asset Management AG and AP Anlage & Privatbank AG in Zurich. There, he was responsible for managing risk and cost economies for private equity projects and conducting market analysis for fixed income derivatives. Prior to his role at AP Asset Management, he worked at KPMG Wirtschaftsprüfungsgesellschaft AG as a Senior Auditor, focusing on the insurance sector and handling annual audits and tax-related matters for (re-)insurance clients.1
Education and Academic Contributions
Segler holds a degree in economics from the University of Hagen, Germany. He has also published academic works on topics such as market risk management within regulatory environments in insurance and the competition of international corporate governance systems in business research and practice.1
Additional Roles and Affiliations
Segler serves as a Managing Director of several investment holding companies in Germany and abroad. He is also a member of the Board of Directors of Hannover ReTakaful B.S.C. (c) and holds directorial positions in other affiliated companies, such as Hannover Re Real Estate Holdings, Inc..12
While the provided sources do not include his LinkedIn profile directly, the information above aligns with what would be expected in a professional profile under the username 'segler'.