Martin Pacanovsky

Martin Pacanovsky Email and Phone Number

Partner @ Vicenda Group AG
Martin Pacanovsky's Location
Baar, Zug, Switzerland, Switzerland
Martin Pacanovsky's Contact Details

Martin Pacanovsky work email

Martin Pacanovsky personal email

n/a
About Martin Pacanovsky

Martin Pacanovsky is a Partner at Vicenda Group AG. He possess expertise in hedge funds, trading, relative value, asset management, portfolio management and 14 more skills. Colleagues describe him as "I often talked about commodity markets with Martin and he always surprised me for his in depth knowledge of what was going on both at the macro and at the micro level in the different sub-sectors. Trading wise I had the opportunity to see the spreadsheets he built up to monitor relative value relationships, they were a clear proof of his analytical way of thinking. He's definitely a smart & nice guy to work with."

Martin Pacanovsky's Current Company Details
Vicenda Group AG

Vicenda Group Ag

View
Partner
Martin Pacanovsky Work Experience Details
  • Vicenda Group Ag
    Partner
    Vicenda Group Ag Jun 2023 - Present
    Baar, Zug, Switzerland
  • Limmat Capital Alternative Investments Ag
    Managing Partner, Coo, Cro, Cco, Cto
    Limmat Capital Alternative Investments Ag Feb 2008 - May 2023
    Responsible for Units Operations, Infrastructure & Technology, Legal & Compliance, Portfolio & Risk Systems, Reporting & Marketing. Experienced in onshore (Luxembourg) and offshore (Cayman) fund management and distribution.
  • Horizon21 Active Alpha
    Vp, Portfolio Manager H21 Commodities Ltd
    Horizon21 Active Alpha Mar 2006 - Dec 2007
    Primary responsibility for relative value book. Made over $6 million on a capital base of $10 million from directional and RV trades. Traded various spread strategies (calendar, roll, location, cross-commodity, equity, volatility). Built quantitative tools for RV trading. Programmed front-to-back-office interface. Exposures ranging from $20 million long/short to $100 million long/short, net exposure never outside ±5% band of NAV. Made and implemented recommendations for the long book. Monthly investor communications. Traded long/short commodity futures, equities, index swaps, futures options, equity options.
  • Rmf Investment Management
    Hedge Fund Analyst, Relative Value
    Rmf Investment Management Jan 2003 - Dec 2005
    Deputy Head of Relative Value. Co-managed two RMF Relative Value funds ($1.3 billion). Primary coverage responsibility for 17 hedge funds (representing investments of $2 billion). Performed due diligence. Negotiated terms and capacity with hedge funds. Prepared and presented tactical asset allocation to the Investment Committee. Assisted in IR and client servicing. Trained and guided two team members.
  • Rmf Investment Management
    Portfolio Manager, Rmf Convertible Far East
    Rmf Investment Management Jul 2002 - Dec 2002
    Managed a €30 million long-only convertible bond portfolio. Outperformed the benchmark, ML Convertible Bond Index, by 8% in six months. Traded convertibles, equities, equity index futures, and fx forwards.
  • Rmf Investment Management
    Proprietary Trader, Asgard Ltd.
    Rmf Investment Management Jan 2001 - Jun 2002
    Managed a €20 million risk arbitrage book (M&A, dual class shares, stubs, etc.). Analyzed special situations. Developed state-of-the-art risk arbitrage monitoring system. Traded long/short equities, fx forwards, equity options.
  • Catholic Healthcare West
    Administrative Fellow (Post-Graduate Placement, Rotations In Finance, Treasury, And Strategy Depts.)
    Catholic Healthcare West Aug 1999 - Aug 2000
    Conducted a 10-year financial forecast for the Group, incl. margin scenarios. Participated in four financings within five months, facilitated the PPM, raising $900 million. Presented to senior management on corporation’s access to capital markets. Analyzed trends and forecast 10-year hospital utilization for 47 hospitals.
  • University Of Minnesota - Carlson School Of Management
    Teaching Assistant - Statistics
    University Of Minnesota - Carlson School Of Management Sep 1998 - May 1999
    Minneapolis, Minnesota, United States

Martin Pacanovsky Skills

Hedge Funds Trading Relative Value Asset Management Portfolio Management Alternative Investments Fund Of Funds Performance Attribution Investment Strategies Investment Operations Asset Managment Options Derivatives Investments Commodity Managed Futures Volatility Financial Markets Equities

Martin Pacanovsky Education Details

Frequently Asked Questions about Martin Pacanovsky

What company does Martin Pacanovsky work for?

Martin Pacanovsky works for Vicenda Group Ag

What is Martin Pacanovsky's role at the current company?

Martin Pacanovsky's current role is Partner.

What is Martin Pacanovsky's email address?

Martin Pacanovsky's email address is m.****@****mac.com

What schools did Martin Pacanovsky attend?

Martin Pacanovsky attended University Of Minnesota - Carlson School Of Management, St. Olaf College, Dublin City University.

What are some of Martin Pacanovsky's interests?

Martin Pacanovsky has interest in Systematic Trading, Languages, Jogging, Technology, Snowboarding, Scuba, Wine, Reading, Markets, Biking.

What skills is Martin Pacanovsky known for?

Martin Pacanovsky has skills like Hedge Funds, Trading, Relative Value, Asset Management, Portfolio Management, Alternative Investments, Fund Of Funds, Performance Attribution, Investment Strategies, Investment Operations, Asset Managment, Options.

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