| Yevhen Pentsak has over 10 years of professional investment experience on stock, currency and commodities markets of Europe, Americas and countries of BRIC. He had developed models of portfolio management and behavioural strategies based on excessive psychological reaction of market participants and expert opinions of a large pool of professional analysts for private banking services of Swiss banks; models for optimal management of bond portfolios immunisation intervals for USA pension funds; as well as strategies for hedging currency and political risks for private investors. | |
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In 2002 Yevhen obtained a PhD in Financial Asset Management and Engineering from the University of Lausanne and Swiss Financial Institute, and in the period from 2002 to 2005 he had been teaching advanced econometrics and financial mathematics in the University of Lausanne. Since 2007 Yevhen has been Academic Director of Master of Banking and Finance (MBF) program at Kyiv Mohyla Business School.
Interview with Yevhen Pentsak in Forbes.
If you would like to learn more about our investment consulting services, please contact Arkadiy Kanyuka, MBA, by email: or phone: + 380 44 593 79 99 (Ukraine).




