George Dimitrov Kolev

George Dimitrov Kolev

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Finance
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Profil

Mr. George D.
Kolev is Portfolio Manager & Commodity Trading Manager at Otterwood Capital Management, Inc. He has extensive experience in fixed income and derivatives markets, utilizing various methods of portfolio management and taking advantage of investment opportunities by duration/yield curve positioning, and sector/security selection.
Prior to joining OtterWood in 2015, Mr. Kolev was with BonaVista Asset Management (now RBC Global Asset Management) where he managed BonaVista Fixed Income and Money Market funds.
Before that he was with Manulife Financial for more than 10 years where he started with their risk management team, then moved to co-manage bond portfolios and later he was co-manager of Manulife’s variable annuity derivatives book.
Mr. Kolev holds a Master of Science in Shipping, Trade and Finance from Cass Business School and a Master of Science in Engineering and Navigation from N.Y.
Vaptsarov Naval Academy.
He also is a CFA charterholder and registered portfolio manager.

Anciens postes connus de George Dimitrov Kolev

SociétésPosteFin
Portfolio Manager-Fixed Income 01/03/2017
Portfolio Manager-Fixed Income 01/11/2013
Analyst-Fixed Income 28/02/2013
Portfolio Manager-Fixed Income -
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Formation de George Dimitrov Kolev

Bayes Business School Graduate Degree
Nikola Vaptsarov Naval Academy Graduate Degree

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