Profil
Piotr Stanislaw Stopinski currently works at Pekao TFI SA, as Director of the Foreign Markets Stocks Management from 2023.
Mr. Stopinski also formerly worked at Pictet Asset Management SA, as Investment Manager and IPOPEMA TFI SA, as Portfolio Manager from 2018 to 2019.
Postes actifs de Piotr Stopinski
| Sociétés | Poste | Début |
|---|---|---|
Pekao TFI SA
Pekao TFI SA Investment ManagersFinance Pekao TFI invests in financial instruments tailored to the needs of investors. The portfolio composition is precisely selected by the manager and actively invested within the selected strategy. | Gestionnaire de Portefeuille-Actions | 01/03/2019 |
Anciens postes connus de Piotr Stopinski
| Sociétés | Poste | Fin |
|---|---|---|
IPOPEMA TFI SA
IPOPEMA TFI SA Investment ManagersFinance IPOPEMA tailors their fund solutions to their clients' needs and expectations, setting up and managing funds on behalf of selected investors. Their investment policy is flexible, and they draw on both traded and non-public assets when constructing investment portfolios. The firm actively manages their fund portfolios. They generally consider investments in large and liquid stocks in Poland and neighboring countries. | Gestionnaire de Portefeuille-Actions | 01/02/2019 |
Pictet Asset Management SA
Pictet Asset Management SA Investment ManagersFinance Pictet AM is an active, long-term, organic growth-oriented manager with a strong focus on valuation across equity, credit, sovereign debt and currencies. The firm employs a variety of investment styles, allowing their teams to implement the best approach for their respective asset classes. Pictet AM’s investment resources are focused on three distinctive capabilities: (1) Greater Europe invest across European the corporate capital structure; (2) Emerging World which has grown with the market, starting with equities and hard currency debt, then adding local currency debt and more recently Asia specific and corporate debt strategies; (3) Global Specialties offer a range of investment strategies that capture long-term trends or aim to benefit from structural changes across sectors and regions. The firm’s beta agnostic thematic equity, multi-asset and absolute return fixed income products lie at the heart of these strategies. Their goal is to provide long-term return potential with diversified risk. | Gestionnaire de Portefeuille-Actions | - |
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
Sociétés liées
| Entreprise privées | 3 |
|---|---|
Pekao TFI SA
Pekao TFI SA Investment ManagersFinance Pekao TFI invests in financial instruments tailored to the needs of investors. The portfolio composition is precisely selected by the manager and actively invested within the selected strategy. | Finance |
Pictet Asset Management SA
Pictet Asset Management SA Investment ManagersFinance Pictet AM is an active, long-term, organic growth-oriented manager with a strong focus on valuation across equity, credit, sovereign debt and currencies. The firm employs a variety of investment styles, allowing their teams to implement the best approach for their respective asset classes. Pictet AM’s investment resources are focused on three distinctive capabilities: (1) Greater Europe invest across European the corporate capital structure; (2) Emerging World which has grown with the market, starting with equities and hard currency debt, then adding local currency debt and more recently Asia specific and corporate debt strategies; (3) Global Specialties offer a range of investment strategies that capture long-term trends or aim to benefit from structural changes across sectors and regions. The firm’s beta agnostic thematic equity, multi-asset and absolute return fixed income products lie at the heart of these strategies. Their goal is to provide long-term return potential with diversified risk. | Finance |
IPOPEMA TFI SA
IPOPEMA TFI SA Investment ManagersFinance IPOPEMA tailors their fund solutions to their clients' needs and expectations, setting up and managing funds on behalf of selected investors. Their investment policy is flexible, and they draw on both traded and non-public assets when constructing investment portfolios. The firm actively manages their fund portfolios. They generally consider investments in large and liquid stocks in Poland and neighboring countries. | Finance |
















