Profil
Mr. Krzysztof Bednarczyk is a Fund Manager at IPOPEMA TFI SA.
Mr. Bednarczyk began his professional career at Bank Energetyki SA as a Corporate Desk Dealer, then as a Bank Liquidity Manager and Fixed Income Dealer.
In 1999-2002 he worked at TUiR Warta SA as the Chief Specialist for Deposits.
From 2002 he held the position of Portfolio Manager, successively at Warta Asset Management SA and KBC TFI SA. In 2008-2010 he was employed at Credit Suisse Asset Management (Polska) SA, where he was responsible for managing funds and debt portfolios.
From March 2010 to June 2011 he was employed at Dom Maklerski IDM SA as an Asset Manager.
From July 2011 for 3 years he managed money funds and treasury and corporate bonds at Opera TFI SA From March 2014 to May 2016 he held the position of Senior Dealer - Expert at Raiffeisen Bank Polska SA responsible for managing bank portfolios of treasury and corporate bonds.
Most recently he was associated with MetLife TFI SA where as the Managing Director of Debt Portfolios he supervised the debt part of MetLife FIO Parasol Krajowy and MetLife SFIO Parasol Swiatowy.
He Graduate of the Radom University of Technology, majoring in Finance.
Postes actifs de Krzysztof Bednarczyk
| Sociétés | Poste | Début |
|---|---|---|
IPOPEMA TFI SA
IPOPEMA TFI SA Investment ManagersFinance IPOPEMA tailors their fund solutions to their clients' needs and expectations, setting up and managing funds on behalf of selected investors. Their investment policy is flexible, and they draw on both traded and non-public assets when constructing investment portfolios. The firm actively manages their fund portfolios. They generally consider investments in large and liquid stocks in Poland and neighboring countries. | Gestionnaire de Portefeuille-Actions | 01/07/2022 |
Anciens postes connus de Krzysztof Bednarczyk
| Sociétés | Poste | Fin |
|---|---|---|
Dom Maklerski IDM SA (Investment Management)
Dom Maklerski IDM SA (Investment Management) Investment ManagersFinance DM IDM SA is a medium- to long-term investment manager. The firm manages diversified portfolios of Polish debt and equity following a combination of active and passive investment approaches. They seek to invest in financially sound companies with significant medium-term growth prospects in sectors which are performing well. The firm supplements their in-house technical analysis with company visits and external research. Their portfolio managers are responsible for investment decisions and aim to outperform the WIG 20 index. | Portfolio Manager-Fixed Income | 01/06/2011 |
Credit Suisse Asset Management Polska SA
Credit Suisse Asset Management Polska SA Investment ManagersFinance CSAM-P operates as part of CSGN, which aims to create value for shareholders by taking advantage of their global integrated network. CSGN actively manages funds across asset classes, geographic regions, sectors and strategies. Their investment philosophy is growth-oriented and research-driven, and combines a top-down approach for asset allocation with a bottom-up approach for stock selection. The firm's fixed-income portfolios cover major markets including emerging markets. They base fixed-income investments on the analysis of macroeconomic trends, currency fluctuation, credit risk, and company valuation. They also offers liquidity funds, as well as balanced products at the domestic, international and global level. | Portfolio Manager-Fixed Income | 02/01/2010 |
KBC TFI SA
KBC TFI SA Investment ManagersFinance KBC TFI is an active manager which also employs passive strategies for certain asset classes or portfolios. They are an equity and fixed-income specialist which focuses on the Polish market. Fund launching and fund management activities are shared with KBC Asset Management (Belgium). The firm follows a primarily top-down investment process, first seeking to identify market trends, then tactically allocating assets within a previously defined strategic framework. They then construct portfolios, aided by a qualitative bottom-up overlay. | Analyst-Fixed Income | 01/08/2008 |
Opera TFI SA
Opera TFI SA Investment ManagersFinance Opera managers are not limited to the selection of shares on a given market, as is the case with equity and bond portfolios. They manage something much more important: the choice of markets and asset classes (Polish shares, foreign shares, debt and foreign instruments, commodities, currencies). The firm also uses short sales. | Gestionnaire de Portefeuille-Actions | - |
Formation de Krzysztof Bednarczyk
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
Relations
Relations au 1er degré
Entreprises liées au 1er degré
Homme
Femme
Administrateurs
Exécutifs
Sociétés liées
| Entreprise privées | 6 |
|---|---|
KBC TFI SA
KBC TFI SA Investment ManagersFinance KBC TFI is an active manager which also employs passive strategies for certain asset classes or portfolios. They are an equity and fixed-income specialist which focuses on the Polish market. Fund launching and fund management activities are shared with KBC Asset Management (Belgium). The firm follows a primarily top-down investment process, first seeking to identify market trends, then tactically allocating assets within a previously defined strategic framework. They then construct portfolios, aided by a qualitative bottom-up overlay. | Finance |
Credit Suisse Asset Management Polska SA
Credit Suisse Asset Management Polska SA Investment ManagersFinance CSAM-P operates as part of CSGN, which aims to create value for shareholders by taking advantage of their global integrated network. CSGN actively manages funds across asset classes, geographic regions, sectors and strategies. Their investment philosophy is growth-oriented and research-driven, and combines a top-down approach for asset allocation with a bottom-up approach for stock selection. The firm's fixed-income portfolios cover major markets including emerging markets. They base fixed-income investments on the analysis of macroeconomic trends, currency fluctuation, credit risk, and company valuation. They also offers liquidity funds, as well as balanced products at the domestic, international and global level. | Finance |
Dom Maklerski IDM SA (Investment Management)
Dom Maklerski IDM SA (Investment Management) Investment ManagersFinance DM IDM SA is a medium- to long-term investment manager. The firm manages diversified portfolios of Polish debt and equity following a combination of active and passive investment approaches. They seek to invest in financially sound companies with significant medium-term growth prospects in sectors which are performing well. The firm supplements their in-house technical analysis with company visits and external research. Their portfolio managers are responsible for investment decisions and aim to outperform the WIG 20 index. | Finance |
Opera TFI SA
Opera TFI SA Investment ManagersFinance Opera managers are not limited to the selection of shares on a given market, as is the case with equity and bond portfolios. They manage something much more important: the choice of markets and asset classes (Polish shares, foreign shares, debt and foreign instruments, commodities, currencies). The firm also uses short sales. | Finance |
IPOPEMA TFI SA
IPOPEMA TFI SA Investment ManagersFinance IPOPEMA tailors their fund solutions to their clients' needs and expectations, setting up and managing funds on behalf of selected investors. Their investment policy is flexible, and they draw on both traded and non-public assets when constructing investment portfolios. The firm actively manages their fund portfolios. They generally consider investments in large and liquid stocks in Poland and neighboring countries. | Finance |
Radomska Szkola Wyzaza
Radomska Szkola Wyzaza Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
















