Lloyd Fonds : Klaus M. Pinter appointed to Lloyd Fonds AG's Management Board
July 28, 2017 at 09:54 am EDT
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DGAP-Ad-hoc: Lloyd Fonds Aktiengesellschaft / Key word(s): Change of Personnel
Klaus M. Pinter appointed to Lloyd Fonds AG's Management Board
28-Jul-2017 / 15:54 CET/CEST
Disclosure of an inside information acc. to Article 17 MAR, transmitted by DGAP - a service of EQS Group AG.
The issuer is solely responsible for the content of this announcement.
Hamburg, July 28, 2017. The Supervisory Board of Lloyd Fonds AG has appointed Klaus M. Pinter to the Management Board of Lloyd Fonds AG, a Hamburg-based investment and asset manager, with effect from August 1, 2017. In this position, he will be responsible for asset business, particularly real estate and shipping, as well as for sales. Pinter joined the company in June 2016 as a general manager. The contract with the Chief Executive Officer Dr. Torsten Teichert has also been renewed. The two contracts have terms expiring on June 30, 2019.
Contact:
Susanne Maack
Capital Markets / PR
Lloyd Fonds AG
Amelungstraße 8-10
20354 Hamburg
Tel: +49-40-325678-132
Fax: +49-40-325678-99
Mail: ir@lloydfonds.de
28-Jul-2017 CET/CEST The DGAP Distribution Services include Regulatory Announcements, Financial/Corporate News and Press Releases. Archive at www.dgap.de
Language:
English
Company:
Lloyd Fonds Aktiengesellschaft
Amelungstr. 8-10
20354 Hamburg
Germany
Phone:
+49 (0)40 32 56 78-0
Fax:
+49 (0)40 32 56 78-99
E-mail:
info@lloydfonds.de
Internet:
www.lloydfonds.de
ISIN:
DE000A12UP29
WKN:
A12UP2
Listed:
Regulated Unofficial Market in Berlin, Dusseldorf, Hamburg, Munich, Stuttgart, Tradegate Exchange; Open Market (Scale) in Frankfurt
Lloyd Fonds AG is a Germany-based multi investment and asset management company. It develops, sells and manages asset investments for institutional and retail investors, and focuses on alternative real assets and investment products. The Company operates through three segments: The Shipping and Other Assets segment focuses the purchasing, structuring and selling assets in the shipping and secondary-market ship fund business and financing of assets by arranging debt and equity capital. The Real Estate segment focuses on the purchase and structuring of assets in the real estate segment. The Trusteeship segment includes, among others management of trust accounts and services for fund entity investors.