Maxim Gilis

Maxim Gilis

Analyst-Fixed Income chez
Econopolis Wealth Management NV
Finance

Profil

Mr. Maxim Gilis is a Portfolio Manager of Fixed Income at Econopolis Wealth Management NV.
In the summer of 2016, he joined the Econopolis team where he is currently responsible as Portfolio Manager - Fixed Income for the selection of bonds in the funds.
As a member of the Asset Allocation Committee, he is also jointly responsible for asset allocation within the funds.
Mr. Gilis obtained a Master's degree in Applied Economics at the University of Antwerp in 2015.
His master thesis dealt with diversification in emerging countries.
He then obtained an additional Master of Finance at the Antwerp Management School, where he researched sustainable investment for a European asset manager.

Postes actifs de Maxim Gilis

SociétésPosteDébut
Analyst-Fixed Income 01/01/2016

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