Profil
For the past 10 years Mr. Pawel Ogrodnik has been involved in the investment fund market.
In 1998 participated in the start-up of ABB Fund Company, later converted to SEB TFI SA., where he works at the moment.
Until 2004 he occupied different positions connected to investment accounting.
Since 2004 has been responsible for financial control and operational risk.
Since 2005 has been appointed the Compliance Officer.
Graduated from the Economy Faculty at the University of Maria Sklodowska-Curie in Lublin.
He has qualifications for the internal auditor and the specialization in financial institutions achieved at the Institute of Internal Auditors.
Anciens postes connus de Pawel Ogrodnik
| Sociétés | Poste | Fin |
|---|---|---|
SEB TFI SA
SEB TFI SA Financial ConglomeratesFinance SEB TFI is an active, value-oriented investment manager investing primarily in Polish equity, bonds and treasury certificates. Their investment approach is prudent, focusing on capital preservation. Asset allocation is top-down, based on macro-economic considerations. The bulk of the firm's assets are invested in bonds. For equity investments, the firm relies on a standardized decision making process based on key ratios, and focuses on large-cap listed companies. The firm seeks to invest in reliably valued companies with growth potential and competent management. In-house research capabilities are supplemented by investment intelligence outsourced from a network of international asset managers. | Directeur/Membre du Conseil | 05/01/2009 |
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
Sociétés liées
| Entreprise privées | 1 |
|---|---|
SEB TFI SA
SEB TFI SA Financial ConglomeratesFinance SEB TFI is an active, value-oriented investment manager investing primarily in Polish equity, bonds and treasury certificates. Their investment approach is prudent, focusing on capital preservation. Asset allocation is top-down, based on macro-economic considerations. The bulk of the firm's assets are invested in bonds. For equity investments, the firm relies on a standardized decision making process based on key ratios, and focuses on large-cap listed companies. The firm seeks to invest in reliably valued companies with growth potential and competent management. In-house research capabilities are supplemented by investment intelligence outsourced from a network of international asset managers. | Finance |
















