Portfoliomanger (alpha generation and sustainability/ESG)
Wiener Städtische Versicherung AG / VIG, Wien
Gabor Komaromi is a Trader and Portfolio Manager across all asset classes with experience in the Alternative Data space (alpha generation and sustainability/ESG).
Gabor started out in Investment Banking in a sales role, covering German & Austrian clients for all Fixed Income and Equity Derivative products. Then he moved on to the trading side, where he was a market maker for USD Interest Rate Derivatives like Swaps and Options.
2010 he made the transition to the buy side, working as a portfolio manager looking after bond portfolios (government bonds, corporates, financials, emerging markets) as well as managing fund of fund investments (UCITS and hedge funds). A quantitative approach was often taken, which included the development of a custom rating model or investments based on news sentiment.
The last 1.5 years were spent working for a big data company heading Fixed Income Analytics (credit and rates) as well as the the ESG efforts, developing a product which can help companies stay on top of controversies and monitor the sustainability sentiment.