Martin Vozár Email & Phone Number
Who is Martin Vozár? Overview
A concise factual answer block for searchers comparing this professional profile.
Martin Vozár is listed as Portfolio Manager at Faculty of management UK Bratislava, Department of Finance and Economics, based in Slovakia. AeroLeads shows a matched LinkedIn profile for Martin Vozár.
Martin Vozár previously worked as Portfolio Manager at Omnium Capital, O.C.P., A.S. and Professor Auxiliar of Corporate Valuation and Financial Management at Faculty Of Management Uk Bratislava, Department Of Finance And Economics. Martin Vozár holds Doctor Of Philosophy (Phd), Corporate Valuation Analysis from Comenius University In Bratislava Faculty Of Management; Department Of Finance And Economics.
Email format at Faculty of management UK Bratislava, Department of Finance and Economics
This section adds company-level context without repeating Martin Vozár's masked contact details.
Review company-level records connected to Martin Vozár before choosing the right outreach path.
About Martin Vozár
Martin Vozár is a Portfolio Manager at Faculty of management UK Bratislava, Department of Finance and Economics. He possess expertise in corporate finance, financial analysis, financial modeling, strategic financial planning, financial statements and 6 more skills. He is proficient in angličtina.
Listed skills include Corporate Finance, Financial Analysis, Financial Modeling, Strategic Financial Planning, and 7 others.
Martin Vozár's current company
Company context helps verify the profile and gives searchers a useful next step.
Martin Vozár work experience
A career timeline built from the work history available for this profile.
Professor Auxiliar Of Corporate Valuation And Financial Management
Teaching experience in MBA courses:1. Master of Business Administration Automotive Industry, Vienna University of Technology, Courses: Financial Management and International Finance (2008 - present).2. Weekend Executive Master of Business Administration. Webster University, Course name: Advanced Corporate Finance (2009 - present)Teaching experience under the program - Erasmus for Young Teachers: European University Cyprus (2012); Business School Lisbon (2010); Athens University of Economics and Business (2009). Courses: Financial Management, Corporate Finance, International Finance.
Co-Owner & Portfolio Manager
Roles:Creating investment portfolios and setting investment strategies.Responsibility for creating and managing investment allocations.Designing customized investment solutions.Maintaining client relationships.Determining appropriate level of risk based on investment horizon, risk preferences, return expectations and market conditions.All portfolios are created and managed in Bloomberg Professional Terminal for best execution, risk and investment analysis.
Planning & Business Development Analyst
Financial planning and forecasting; Cash flow estimation and risk analysis (Scenario and Sensitivity analysis); Selling plans preparation for the main PM´s cigarettes brands in Slovak market; Market trends analysis.
Specialist In Corporate Valuation
Corporate valuation analysis: DCF, Multiples (Relative Valuation), Asset based methods; Preparing reports for law purposes (Expert Opinion in Economic Area, e.g.: Squeeze Out, M&A, and Takeover Bid).
Financial Analyst For The Investment Portfolio Management Group
Financial reports preparation about global economic trends for ALCO (Asset and Liability Committee) and Supervisory Board; Preparation new investments proposals (for the bank´s book and for client´s requirements) mainly for the alternative financial instruments, credit derivatives (CDS, CDO, CLO, RMBS), interest rates structures, FX, commodities funds; Hedging analysis.
Martin Vozár education
Doctor Of Philosophy (Phd), Corporate Valuation Analysis
Master'S Degree, Financial Management
Frequently asked questions about Martin Vozár
Quick answers generated from the profile data available on this page.
What company does Martin Vozár work for?
Martin Vozár works for Faculty of management UK Bratislava, Department of Finance and Economics.
What is Martin Vozár's role at Faculty of management UK Bratislava, Department of Finance and Economics?
Martin Vozár is listed as Portfolio Manager at Faculty of management UK Bratislava, Department of Finance and Economics.
Where is Martin Vozár based?
Martin Vozár is based in Slovakia while working with Faculty of management UK Bratislava, Department of Finance and Economics.
What companies has Martin Vozár worked for?
Martin Vozár has worked for Omnium Capital, O.C.P., A.S., Faculty Of Management Uk Bratislava, Department Of Finance And Economics, Wealth Effect Management O.C.P., A.S., Philip Morris Slovakia S.R.O., and Tacoma Consulting A.S..
How can I contact Martin Vozár?
You can use AeroLeads to view verified contact signals for Martin Vozár at Faculty of management UK Bratislava, Department of Finance and Economics, including work email, phone, and LinkedIn data when available.
What schools did Martin Vozár attend?
Martin Vozár holds Doctor Of Philosophy (Phd), Corporate Valuation Analysis from Comenius University In Bratislava Faculty Of Management; Department Of Finance And Economics.
What skills is Martin Vozár known for?
Martin Vozár is listed with skills including Corporate Finance, Financial Analysis, Financial Modeling, Strategic Financial Planning, Financial Statements, Financial Markets, Portfolio Management, and Portfolio Optimization.
Search by job title, company, industry, location, and seniority. Export verified B2B contact data when you need it.
Start free trialCheck these profiles if this is not the Martin Vozár you were looking for.
View similar profiles