Perfil
Mr. Gerhard Matkovits is a Fund Manager at European American Investment Bank AG.
He joined Euram Bank’s Asset Management Team in 2005.
He is a proven expert for capital markets with over 30 years of experience in asset management.
He is primarily responsible for the portfolio management and the management of bond funds.
He gained further knowledge as an analyst at Schoeller & Co Bank AG and from 1993 – 2005 he was in charge of portfolio management and bond funds at Bank Vontobel Österreich.
Mr. Matkovits graduated from Vienna University of Economics.
Cargos activos de Gerhard Matkovits
| Empresas | Cargo | Inicio |
|---|---|---|
European American Investment Bank AG
European American Investment Bank AG Investment ManagersFinance EC has a growth-oriented investment approach and manages portfolios invested in both traditional and alternative instruments. The firm uses a top-down market approach and starts the investment process with an asset allocation process. EC considers factors such as liquidity, duration and credit risk when building portfolios, which they manage against benchmarks. Portfolio analysis is primarily qualitative and risk analysis includes macroeconomic data, liquidity and individual corporate actions. | Gestor de Cartera-Acciones | 01/10/2005 |
Antiguos cargos conocidos de Gerhard Matkovits.
| Empresas | Cargo | Fin |
|---|---|---|
Vontobel Asset Management AG
Vontobel Asset Management AG Investment ManagersFinance Vontobel AM is an active asset manager with global reach and a multi-boutique approach. | Gestor de Cartera-Acciones | 25/09/2006 |
Experiencias
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Empresas privadas
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Relaciones de 1er grado
Empresas vinculadas al 1er grado
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Empresas relacionadas
| Empresas privadas | 2 |
|---|---|
Vontobel Asset Management AG
Vontobel Asset Management AG Investment ManagersFinance Vontobel AM is an active asset manager with global reach and a multi-boutique approach. | Finance |
European American Investment Bank AG
European American Investment Bank AG Investment ManagersFinance EC has a growth-oriented investment approach and manages portfolios invested in both traditional and alternative instruments. The firm uses a top-down market approach and starts the investment process with an asset allocation process. EC considers factors such as liquidity, duration and credit risk when building portfolios, which they manage against benchmarks. Portfolio analysis is primarily qualitative and risk analysis includes macroeconomic data, liquidity and individual corporate actions. | Finance |
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