Profil
Mr. Vitaliy Poplavets is a Portfolio Manager at VIG Befektetési Alapkezelo Magyarország Zrt.
Before VIG, Mr. Poplavets gained experience at the following places: UIC Generali Garant (Generali Group, IT; 2006-2009), Fortis Life Insurance Ukraine (Fortis Group, NL; 2009-2011), Fidem Life (Horizon Capital, US; 2009-2013).
In 2013, Mr. Vitaliy joined the Ukrainian VIG Life (VIG Group, NL; 2013-2017).
In 2005, he graduated from the Kyiv National Economic University Master's course.
In 2012, he obtained the Certified Asset Manager diploma (Ukrainian Stock Market Development Institute).
Postes actifs de Poplavets Vitaliy
| Sociétés | Poste | Début |
|---|---|---|
VIG Befektetési Alapkezelo Magyarország Zrt
VIG Befektetési Alapkezelo Magyarország Zrt Investment ManagersFinance VIG Alapkezelo’s capital-protected investment funds offer excellent investment possibilities for risk avoiders or conservative investors. Their classic investment funds seek to profit from the performance of a predetermined market (a country, a region, equities, bonds, etc.) These funds aim to outperform the predetermined benchmark index of the individual markets. The firm’s total return investment funds don't have a predetermined market or a target asset allocation. | Portfolio Manager-Fixed Income | 01/02/2017 |
Formation de Poplavets Vitaliy
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Fonctions occupées
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Entreprise privées
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Relations au 1er degré
Entreprises liées au 1er degré
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Sociétés liées
| Entreprise privées | 2 |
|---|---|
Kyiv National Economic University
Kyiv National Economic University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
VIG Befektetési Alapkezelo Magyarország Zrt
VIG Befektetési Alapkezelo Magyarország Zrt Investment ManagersFinance VIG Alapkezelo’s capital-protected investment funds offer excellent investment possibilities for risk avoiders or conservative investors. Their classic investment funds seek to profit from the performance of a predetermined market (a country, a region, equities, bonds, etc.) These funds aim to outperform the predetermined benchmark index of the individual markets. The firm’s total return investment funds don't have a predetermined market or a target asset allocation. | Finance |
















