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The Fund seeks to maximize returns over up to 3 year investment horizon through investing in a diversified portfolio of predominantly Russian equity securities with the high potential for capital appreciation.
Name | Title | Since | Until |
---|---|---|---|
Evgeny Linchik | Portfolio Manager | 2015 | Now |
Biography | Evgeny Linchik has been with the company since 2010. Prior to that, from 2007–2010, Mr. Linchik served as a portfolio manager and analyst at Renaissance Capital and was co-fund manager of Renaissance Infrastructure Fund and Renaissance Small Cap Fund, where he oversaw investments totaling more than $300 mln. From 2004–2007, he was a senior analyst at Rye, Man & Gor Securities. Prior to that, from 2000–2004, he worked at Ericsson and Deloitte. Mr. Linchik graduated from Bauman Moscow State Technical University, studied in the MBA program at the American Institute of Business and Economics and was certified as a portfolio manager by the FSA (UK) as well as the Cyprus financial ministry. Не holds series 1.0 and 5.0 certification from the Russian Federal Financial Markets Service. | ||
Yuri Morogov | Equity Portfolio Manager | 2012 | Now |
Biography | Yuri Morogov joined the company in March 2012 as an equity portfolio manager. He previously worked at Sberbank where he oversaw the overall investment process and also managed equity portfolios. From 2006–2008, Mr Morogov was a portfolio manager at Leader Asset Management (2006–2008), before which he worked at Petrocommerce Bank (2001–2006), where he held various investment/asset management positions. Mr Morogov graduated with honors from Lomonosov Moscow State University with a degree in Mathematics. He holds series 1.0 and 5.0 certification from the Russian Federal Financial Markets Service. | ||
Roman Filatov | Managing Director | 2013 | 2015 |
Biography | Roman Filatov, CFA, joined Sberbank Asset Management as Head of Equities Portfolio Management, Managing Director in November 2012 from IXIA Asset Management, where he managed Russian, US, and European equity portfolios for major private clients. Prior to that he was a director of ACCENT Investment Management, where he managed HNW portfolios and built the company’s hedge fund business. In 2008-2009 he was a senior equity portfolio manager at Renaissance Investment Management. Prior to that, in 1996-2008, Roman held various positions at the Russian office of Templeton Asset Management, ranging from analyst, to senior portfolio manager, to Managing Director. Roman graduated from the Moscow Institute of Physics and Technology with a master’s degree in mathematics and mathematical economics. He also has studied at the American Institute of Business and Economics in Moscow and holds both a CFA charter and a series 5.0 certification from the Russian Federal Financial Markets Service. | ||
Andrey Kilin | Portfolio Manager | 2008 | 2012 |
Biography | Andrei Kilin – Portfolio Manager, long only equity - has a long experience of managing equity portfolios – he was a proprietary trader at Trust Investment Company Land before, during and after the financial crisis of 1998 and has been managing funds in the latest bull market as well as in the current turmoil. Joined TDAM in October 2008. Graduated from Novosibirsk State University with a degree in Economics. Joined TDAM from Alfa Capital AM, where was responsible for managing equity portfolios. Andrei was ranked Best Russian Portfolio Manager in 2007. |
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