Portfolio Management New Markets

 

  • Since 2009 with Bellevue Asset Management as co-portfolio manager of the BB Silk Road Opportunities (LUX) Fund
  • 2007 - 2009 Bank Julius Baer, portfolio manager JB Russia Fund
  • 2006 - 2007 Arcelor Mittal, strategic management
  • 2001 - 2005 Mc Kinsey & Co., project manager
  • 1997 - 1999 Daiwa Institute of Research & European Bank for Research and Development, investment manager
  • MBA, Vanderbuilt University, USA
  • Master's degree in Business Economics, Khaborovsk State Academy of Eonomics & Law, Khabarovosk, Russia
  • CFA charterholder
 

 

  • Since 2009 with Bellevue Asset Management as lead portfolio manager of the BB African Opportunities (LUX) Fund
  • 2007 - 2009 Julius Baer Asset Management, portfolio manager of  JB Northern Africa and Nikko Africa Funds
  • 2003 - 2007 Deutsche Bank, London, quant risk analyst
  • PhD in Theoretical Physics, Swiss Federal Institute of Technology (ETH) Zurich

 

 

 

  • With Bellevue Asset Management since 2011, Portfolio Manager of BB Silk Road Opportunities and BB Entrepreneur Asia Fund
  • 2005–2011 Bankinvest Asset Mangement, Portfolio Mangager Asia ex Japan Equitites
  • 2003–2005 Nordic Venture Partners, analyst covering telecom and technology companies
  • Master‘s degree in applied economics and finance
  • Computer Science/Business Administration studies
  • CFA charterholder

 

 
  • Since 2009 with Bellevue Asset Management as senior product specialist
  • 1999 - 2009 Julius Baer Asset Management, head fund research, equity product specialist
  • 1996 - 1999 Ernst&Young, business audit and consulting
  • Master's degree in Business Economics following studies at the University of Berne and University of Warwick, UK