Profil
Mr. Oleg Galkin is Chief Investment Officer at Uralsib Management Co. CJSC.
He has over twelve years of experience working for the largest and most reputable financial institutions such as Credit Suisse First Boston (Moscow), ING Bank (Moscow) and more than 10 years of experience dedicated to asset management.
He joined Uralsib Asset Management in 2006 and oversees the investment activities of the firm and ensures the integrity of the business, while keeping hands-on management of the quality of investment decisions within the portfolio management team.
He holds a Master’s degree from Moscow Aviation Institute.
Anciens postes connus de Oleg Galkin
| Sociétés | Poste | Fin |
|---|---|---|
UralSib Management Co. JSC
UralSib Management Co. JSC Investment ManagersFinance UralSib Management Co. is an active manager which follows a structured approach, constructing portfolios based on fundamental research and supported by risk controls. They aim to minimize the long-term impact of volatility on portfolios by adhering to clearly formulated investment objectives and have expertise in large, small and mid-cap equities, fixed-income, specialized and balanced mandates and real estate. The firm utilizes top-down and bottom-up approaches to make investment recommendations to the portfolio management team. Their research process is based on a comprehensive review of economic and securities market trends, sector developments, company valuations and risk characteristics. UralSib Management Co. continually reviews and rebalances portfolios. The firm’s Investment Committee oversees portfolio managers and elaborates strategic allocation by asset classes and market segments for each portfolio. | Directeur en chef des Investissements | 01/01/2013 |
Expériences
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Inactives
Sociétés cotées
Entreprise privées
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Relations au 1er degré
Entreprises liées au 1er degré
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Sociétés liées
| Entreprise privées | 1 |
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UralSib Management Co. JSC
UralSib Management Co. JSC Investment ManagersFinance UralSib Management Co. is an active manager which follows a structured approach, constructing portfolios based on fundamental research and supported by risk controls. They aim to minimize the long-term impact of volatility on portfolios by adhering to clearly formulated investment objectives and have expertise in large, small and mid-cap equities, fixed-income, specialized and balanced mandates and real estate. The firm utilizes top-down and bottom-up approaches to make investment recommendations to the portfolio management team. Their research process is based on a comprehensive review of economic and securities market trends, sector developments, company valuations and risk characteristics. UralSib Management Co. continually reviews and rebalances portfolios. The firm’s Investment Committee oversees portfolio managers and elaborates strategic allocation by asset classes and market segments for each portfolio. | Finance |
















