Profil
Mr. Vladislav Krivenkov is a Portfolio Manager at SIGNAL IDUNA Asset Management GmbH.
Mr. Krivenkov was previously employed as a Portfolio Manager by nordIX AG.
Postes actifs de Vladislav Krivenkov
| Sociétés | Poste | Début |
|---|---|---|
SIGNAL IDUNA Asset Management GmbH
SIGNAL IDUNA Asset Management GmbH Investment ManagersFinance SIAM is a conservative, risk-averse investor which manages a range of portfolios invested across asset classes, strategies, regions and sectors. They focus on large-caps as well as blue-chips, and specialize in index-oriented management, closely benchmarking the main world indexes without entirely replicating them. The firm's equity investment strategy follows a bottom-up approach based on fundamental research. Once investment opportunities are selected, fund managers take macroeconomic factors into consideration to decide on investments. Their risk management process includes an active currency overlay strategy to stabilize long-term returns. | Portfolio Manager-Fixed Income | 01/10/2024 |
Anciens postes connus de Vladislav Krivenkov
| Sociétés | Poste | Fin |
|---|---|---|
nordIX AG
nordIX AG Investment ManagersFinance nordIX is a fixed income specialist and deals exclusively with bonds and derivatives. The firm takes advantage of interest rate and credit derivatives (CDS) - not only for hedging purposes, but also actively to optimize the yield. nordIX also manages mandates with higher expected returns. Particularly in the subordinated bond sector of banks and insurance companies, the team has built up a strong expertise. | Portfolio Manager-Fixed Income | 01/09/2024 |
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Sociétés liées
| Entreprise privées | 2 |
|---|---|
SIGNAL IDUNA Asset Management GmbH
SIGNAL IDUNA Asset Management GmbH Investment ManagersFinance SIAM is a conservative, risk-averse investor which manages a range of portfolios invested across asset classes, strategies, regions and sectors. They focus on large-caps as well as blue-chips, and specialize in index-oriented management, closely benchmarking the main world indexes without entirely replicating them. The firm's equity investment strategy follows a bottom-up approach based on fundamental research. Once investment opportunities are selected, fund managers take macroeconomic factors into consideration to decide on investments. Their risk management process includes an active currency overlay strategy to stabilize long-term returns. | Finance |
nordIX AG
nordIX AG Investment ManagersFinance nordIX is a fixed income specialist and deals exclusively with bonds and derivatives. The firm takes advantage of interest rate and credit derivatives (CDS) - not only for hedging purposes, but also actively to optimize the yield. nordIX also manages mandates with higher expected returns. Particularly in the subordinated bond sector of banks and insurance companies, the team has built up a strong expertise. | Finance |
















