XII Cbonds Fixed Income Conference – Cyprus
10 апреля 2025 г.
Лимассол
Crowne Plaza Limassol (2 Promachon Eleftherias)
Спикеры
Akkizidis Nikolaos
Head of Advice Department, A.N. Allnew Investments
With over 20 years in financial services, Nikolaos Akkizidis has excelled in portfolio management, risk assessment, and financial analytics. Beginning as a financial analyst, he...
With over 20 years in financial services, Nikolaos Akkizidis has excelled in portfolio management, risk assessment, and financial analytics. Beginning as a financial analyst, he quickly advanced to pivotal roles, including Head of Analysis, Derivative Trader, Head of Dealing Room, Executive Member of the Board, and COO at a leading stockbroking company in Athens.
Since 2019, Nikolaos has focused on enhancing regulatory compliance and operational efficiency as the Compliance and AML Officer for an FX trading company in Cyprus. As of 2023, he serves as the Head of the Investment Advisory Department, where he delivers strategic insights and innovative solutions for navigating complex markets.
Nikolaos is a highly sought-after keynote speaker at conferences worldwide, addressing pressing global economic issues and big topics in technology, innovation, fintech, and AI. His engaging presentations provide actionable insights into navigating today’s challenges and seizing opportunities for growth and transformation.
Nikolaos is the author of the famous “Financial Economics, Strategic Risk & Investment Management, Undercover”, which sheds light on global macroeconomic strategies for managing high sovereign debts.
He is also currently crafting two groundbreaking books:
1. “The Axiom to Discover Great Challenges Risks Opportunities” – explains the nature of today's significant challenges, risks, & opportunities.
2. “CRYPTOS: The New Normality in a New Ground of Common Values” – analyzing cryptocurrency’s transformative influence on societal norms.
Additionally, he is a long-time contributor to FXStreet, a leading portal in financial news and analysis.
A pioneer in AI-driven transformation, Nikolaos integrates cutting-edge technologies into finance and investment, redefining traditional processes and unlocking new possibilities. His work emphasizes AI's role in addressing global challenges and fostering innovation.
Nikolaos holds a Master’s in International Economics, Banking, and Finance from Cardiff University, with further studies in Strategic Management at the London School of Economics & Political Science (LSE).
He is CySEC Advanced & AML Certified, with a strong background in Compliance & Anti-Money Laundering.
Articles: FXStreet https://www.fxstreet.com/author/nikolaos-akkizidis
Book: Available on Amazon http://amzn.eu/f6dqe2S
Cox Anna
Executive Director, EXANTE
Анна Кокс — опытный профессионал с 23-летним опытом работы в сфере финансовых услуг и инвестиционного банкинга. Она начала свою карьеру в сфере продаж акций и...
Анна Кокс — опытный профессионал с 23-летним опытом работы в сфере финансовых услуг и инвестиционного банкинга. Она начала свою карьеру в сфере продаж акций и деривативов акций в Lehman Brothers и Goldman Sachs в Нью-Йорке, до перехода к институциональному обслуживанию клиентов в сфере управления активами и на развивающихся рынках. Затем Анна перешла в сферу соблюдения правовых и нормативных требований, особенно после внедрения MiFID II в Европе, где она руководила отделом по обеспечению соответствия и борьбе с отмыванием денег. Ее опыт охватывает финансовое регулирование в ЕС, Великобритании и США, регулирование цифровых активов, корпоративное право, требования к лицензированию и отчетности для финансовых учреждений, а также регулирование AML/CTF и корпоративный контроль транзакций. В настоящее время Анна сосредоточена на обеспечении роста и расширения EXANTE посредством слияний и поглощений, а также структурирования группы. Анна имеет степень бакалавра наук в области финансов и бухгалтерского учета Фордхэмского университета (Нью-Йорк, США), степень магистра наук в области финансов Гренобльской школы менеджмента (Гренобль, Франция) и степень магистра права в области международного финансового и коммерческого права Королевского колледжа Лондона (Лондон, Великобритания). Она работала советником Комиссии по ценным бумагам и биржам Кипра (CySec) по разработке законодательства о борьбе с отмыванием денег на основе технологии распределенного реестра (DLT). Кроме того, Анна является доцентом в Гренобльской школе менеджмента, где она преподает курсы по блокчейну и цифровым финансам, а также по выкупу с использованием заемных средств. Благодаря своему обширному опыту в сфере финансовых услуг, соблюдения нормативных требований и регулирования Анна привносит в отрасль обширные знания и опыт, что позволяет ей занимать лидирующие позиции в развивающейся сфере финансового регулирования и корпоративного управления.
Dmitrieva Xenia
международный бизнес-разработчик, Cbonds
Xenia Dmitrieva joined Cbonds in 2021 as an International Support Manager. Having graduated from the Humanities Institute with a Linguistics Degree, she learnt different languages...
Xenia Dmitrieva joined Cbonds in 2021 as an International Support Manager. Having graduated from the Humanities Institute with a Linguistics Degree, she learnt different languages as well as studied business communication. For years, having worked with the current client base, Xenia has learnt a large number of use cases and helped to meet challenges of banks, asset management teams, family offices, risk assessment companies, and private investors.
Since January 2024, Ms. Dmitrieva has been working as an International Business Developer with a key role to build international partnerships and achieve win-win goals.
Efstathiou Demetris
Chief Investment Officer, Blue Diagonal Capital
Деметриос обладает более 25 летним опытом работы на финансовых рынках, специализируясь на развивающихся рынках. Из них 15 лет он проработал трейдером и портфельным управляющим, занимался...
Деметриос обладает более 25 летним опытом работы на финансовых рынках, специализируясь на развивающихся рынках. Из них 15 лет он проработал трейдером и портфельным управляющим, занимался кредитными инструментами, валютами и процентными ставками. После этого еще в течение пяти лет работал в качестве руководителя по стратегии и аналитике.
До того, как стать сооснователем Blue Diagonal Capital, возглавлял отдел стратегии по различным классам активов, включая кредитные инструменты, валюты и процентные ставки, в лондонском отделении ICBC Standard Bank, куда перешел с похожей должности в RBS Global Markets в Лондоне. До работы в RBS Деметриос управлял портфелями ЕМ в лондонском хедж-фонде и являлся проп-трейдером инвестиционно-банковского подразделения Morgan Stanley. Он начал карьеру как трейдер кредитными инструментами ЕМ и специалист по развивающимся рынкам в London Forfaiting Company.
Деметриос имеет степень бакалавра в области информационных систем, которую он получил в Имперском колледже Лондона (ImperialCollege London), и MBA с фокусом на Франции от Лондонской школы бизнеса (London Business School).
Kassianides Christos
Portfolio Manager, Eleon Capital Management Ltd
Christos Kassianides is the Founder, Executive Director, and Head Portfolio Manager of Eleon Capital Management, bringing a wealth of expertise in Treasury, Fixed Income, Fund...
Christos Kassianides is the Founder, Executive Director, and Head Portfolio Manager of Eleon Capital Management, bringing a wealth of expertise in Treasury, Fixed Income, Fund Management, and Real Estate development and investments. With a career spanning decades, Christos has built a reputation for strategic thinking and innovative investment solutions with over 25 years of experience as Treasurer for various Investment Banks and Real Estate entrepreneur for Private Companies.
Christos was the Portfolio Manager for a UCITS-regulated Bond Fund. He previously owned an Investment Firm specializing in Private Wealth and Portfolio Management. He now concentrates on Alternative Investment Funds with various strategies.
Christos holds a Bachelor of Commerce with Honours and an MBA from the University of Witwatersrand, along with a Diploma in Civil Engineering from the University of South Africa. He has completed executive education programs in Property Development at the University of Cape Town and Real Estate Economics and Finance at the London School of Economics and Political Science. He is also a holder of the Advanced CySEC.
His leadership is marked by a commitment to excellence, transparency, and building meaningful relationships with investors and partners. Under his guidance, Eleon Capital Management thrives as a trusted name in finance and investments.
Konstantinou Michael
Senior Portfolio Manager, Athlos Capital
Michael embarked on his career as a bond trader on the European Investment Grade trading desk at Barclays in London, where he spent 11 years...
Michael embarked on his career as a bond trader on the European Investment Grade trading desk at Barclays in London, where he spent 11 years specializing in Financials and Sovereigns and was promoted to a Director. At his time at Barclays, he also traded dollar denominated bank capital assets in the New York office. He was also a part of the European Emerging Markets trading team in London, gaining experience in the CIS sovereign and corporates market. In 2018, he moved on to head the European Financials bond trading team at Credit Suisse in London, where he was eventually promoted to a Managing Director running the European Investment Grade bond trading desk.
He managed teams across London, Hong Kong and Madrid covering a vast majority of the IG/HY bond spectrum across different currencies. Michael has recently joined Athlos Capital as a senior portfolio manager and holds a BSc (Honors) in Accounting and Finance from the London School of Economics and Political Science.
Lombardo Alessandro
Head of Client Relationship Department, Cbonds
Graduating from the University of Genoa in 2014 in Modern Language and Culture, and going on to gain a Master’s in Translation and Interpretation in...
Graduating from the University of Genoa in 2014 in Modern Language and Culture, and going on to gain a Master’s in Translation and Interpretation in 2016, Alessandro Lombardo gained experience in international relations through managing the reports of the Organisation of European Cancer Institutes (OECI) between 2012 and 2017, for the members from Central and Eastern Europe. In September 2017 he began his collaboration with Cbonds, a company providing an online bond research and analysis platform. In August 2018 he was appointed head of the company’s international department.
Sander Sergey
International expert in real estate and relocation, a business developer, частное лицо
Shostak Kyle
CEO, Title Broker International Ltd
Kyle runs TBI, an Astana-based, client-driven, boutique brokerage firm providing solutions to clients in fixed income and equity. It's a joint initiative of his multi-family...
Kyle runs TBI, an Astana-based, client-driven, boutique brokerage firm providing solutions to clients in fixed income and equity. It's a joint initiative of his multi-family investment office, Navigator Principal Investors, and a group of private investors. Kyle has been co-founder of this New-York-based investment office since 2011. Primarily activities include emerging markets debt and equity and mezzanine financing.
Prior to that, from 1995 to 2011, Kyle held several origination, structuring and portfolio management positions in Leveraged Finance and Financial Sponsors desks at J.P. Morgan, GE Capital/Genworth Financial, Credit Suisse, Banca Intesa and Bank Austria/Creditanstalt. Mr. Shostak covered mezzanine, second lien, secured, LBO/MBO, asset-backed, special situations debt and private equity
In 1994-1995, Mr. Shostak served as an associate at Covington & Burling in Washington, DC, specializing in corporate and securities
Kyle holds an MBA in Finance from Stern School of Business at NYU (2000) and Master of Laws (LL.M.) from The American University, Washington, D.C. (1994).
Sophocleous Sophocles
Professional Investor, Speaker, частное лицо
Seasoned asset management professional with experience in both fixed-income and equities in developed and emerging markets. Previously with Zurich-based Veraison Capital AG and London-based Argo...
Seasoned asset management professional with experience in both fixed-income and equities in developed and emerging markets. Previously with Zurich-based Veraison Capital AG and London-based Argo Capital Management. CFA Charterholder and Fulbright Scholar. Founder of FatAlpha Value (Cyprus) and FatAlpha Value (Asia); two by-invitation value investor conferences. Native of Canada.
Triantafyllides George
Capital Markets Manager, 7Q Financial Services
George Triantafyllides is a financial trader and markets analyst with over 25 years of industry experience. He possesses a robust expertise in financial markets, a...
George Triantafyllides is a financial trader and markets analyst with over 25 years of industry experience. He possesses a robust expertise in financial markets, a profound understanding of trading strategies, and a proven track record of managing financial portfolios across various asset classes and through volatile market conditions.
George began his finance career in 1997 as a junior FX & Money Market Dealer in the Treasury Department of Hellenic Bank Public Company Ltd. He ascended to Chief Capital Markets Dealer in 2006 and Treasury Manager in 2009, where he led a team of Money Market and Capital Market Dealers. In the wake of the 2013 Cyprus Banking Crisis, he took on the role of Dealing Room Manager, overseeing Foreign Exchange operations and directing a team of FX Dealers.
Throughout his tenure in Hellenic Bank’s Treasury Department, George actively managed the Bank's portfolios in Money Market, Bonds, Structured Products, FX, and Interest Rate Derivatives. He successfully navigated challenges such as the 2008 Global Financial Crisis, the 2009-2012 Greek Sovereign Bond Crisis, the 2013 Cyprus Banking Crisis, and the subsequent recovery period.
In January 2018, after a 20-year career at Hellenic Bank, George pursued his ambition to become a Professional Financial Trader and manage his own investment portfolio. Since then, he has honed his investment and trading skills through Fundamental and Technical Analysis, gaining extensive experience in trading Bonds, Equities, Forex, and Digital Assets.
Currently, George leads the Portfolio Management function at 7Q Investment Group, managing and overseeing the Group’s investment initiatives and discretionary client mandates. He also plays a key role in the Group’s Investment Research initiatives, collaborating with the Investment Advisory function to educate clients and develop insightful trading strategies.
Tsimaylo Vladimir
Senior Economist, Compass Lexecon
Vladimir Tsimaylo is a Senior Economist at Compass Lexecon in London. With a decade of experience in economic and financial consulting, he specialises in securities...
Vladimir Tsimaylo is a Senior Economist at Compass Lexecon in London. With a decade of experience in economic and financial consulting, he specialises in securities and business valuation, damages assessment, and legal claim investment advisory. His recent work spans multiple industries—including renewable and conventional energy, shipbuilding, banking, and real estate—across diverse geographies such as the EU, FSU/CIS, the Middle East, and Sub-Saharan Africa.
Viner Alexander
Head of Portfolio Management, Wise Wolves Finance
Alexander Viner has over 20 years of experience in capital markets. He began his career as a fixed income, money market, and FX trader at...
Alexander Viner has over 20 years of experience in capital markets. He began his career as a fixed income, money market, and FX trader at several leading regional banks. He worked as an investment advisor at several of the largest family offices and contributed to managing a global asset allocation fund as a member of an investment committee at a London-based asset manager with USD 1.8 billion in assets. In 2017, he moved to Cyprus to manage an EM-focused Fixed Income Fund. He is currently the Head of Portfolio Management at Wise Wolves Group.
Zhatkin Roman
Head of Back Office and Administration Department, European broker Mind Money
Roman Zhatkin has been active in the financial market since 2005, specializing in financial consulting and portfolio investment.
• Holds the “Stock Exchange Trader” certificate from HES...
Roman Zhatkin has been active in the financial market since 2005, specializing in financial consulting and portfolio investment.
• Holds the “Stock Exchange Trader” certificate from HES SPbSUEF.
• Certified by FSFR (1.0).
• Speaker at numerous seminars and webinars on trading, financial planning, and portfolio investment.
Career Path
• 2007–2012: At the North-West branch of the investment company ATON, Roman was responsible for client relations, financial consulting (investment portfolio structuring), and training in stock market trading. He regularly conducted in-house seminars and webinars on algorithmic trading systems for a broad audience.
• 2012–2016: As a Technical Director at ARTrade, he was responsible for the development and implementation of algorithmic trading systems, as well as conducting technical evaluations.
• 2016–2020: Worked in various brokerage firms in Russia, providing client consultations on portfolio formation, market strategy, and current market conditions.
• Since 2020: Roman has been working at the Cypriot brokerage firm Mind Money Ltd. (ex. Zerich Securities) as Head of Back Office.
Лялин Сергей
Основатель, Cbonds
Сергей Лялин окончил Санкт-Петербургский Государственный Университет, экономический факультет (диплом «экономист-математик»). Также получил образование в Стокгольмском Университете по программе Baltic Sea Management Academy (диплом MSBA). Имеет...
Сергей Лялин окончил Санкт-Петербургский Государственный Университет, экономический факультет (диплом «экономист-математик»). Также получил образование в Стокгольмском Университете по программе Baltic Sea Management Academy (диплом MSBA). Имеет ученую степень кандидата экономических наук.
Работать на рынке ценных бумаг начал в 1995 году аналитиком по облигациям в ИК «Девиз». С 1997 года – в ИК «Энергокапитал» (менеджер по работе с клиентами, затем начальник отдела маркетинговых исследований).
В 2000 году организовал Интернет-портал Cbonds.Ru. С 2001 года – генеральный директор ООО «Сбондс.ру». Под руководством Сергея Лялина информационное агентство Cbonds стало лидирующим информационным ресурсом по рынку облигации России и стран СНГ. С 2006 – издатель журнала Cbonds Review, в 2006-2007 главный редактор журнала.
Автор книги «Корпоративные облигации: мировой опыт и российские перспективы» (2001), ряда статей по рынку ценных бумаг.
Фарбер Митя
управляющий активами A3-Invest, частное лицо
Шестаков Глеб
управляющий, Fund GFM Cossack Bond
Mr. Shestakov was educated at Moscow University and received a Soros Scholarship to study at Oxford University where he read for a philosophy DPhil at...
Mr. Shestakov was educated at Moscow University and received a Soros Scholarship to study at Oxford University where he read for a philosophy DPhil at Balliol College. He worked as a journalist in England and from 1991 he worked in London and Moscow as a management consultant for a number of Russian projects. In August 1992 he became the founding Managing Director of Global Fund Management S.A
XII Cbonds Fixed Income Conference – Cyprus
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