Who we are
The world is rapidly evolving and the traditional investment models are being challenged and savings are at risk. The need for diversification into different geographic areas as well as different portfolio management tools is growing every day.
With 40+ years of combined experience in capital markets and corporate finance, our aim at Euro Asia Asset Management is to facilitate our clients in navigating cross-country, cross-assets and cross-counterparties portfolio management between European and Asian financial markets.
Euro Asia Asset Management is recognised as a Registered Fund Management Company (“RFMC”) with MAS under the Securities and Futures Act (Cap. 289) of Singapore for the regulated activity of fund management. We operate with strict risk and compliant processes and are here to serve and protect interests of Accredited Professional and Semi-Professional Investors, Portfolio Managers, Family Offices and Financial Institutions.
Karol Piovarcsy, CAIA
Over 17 years of experience in financial markets
Licensed in UK/London, Czechia/Prague, Hong Kong, Singapore
Senior Managerial roles in Saxo Bank, Online Fintech Bank/Brokerages
Institutional & HNWI clients
Trading and Investments Related Services
Chartered Alternative Investments, Stanford University Certificates Holder, Engineer and Bc title at EUB Slovakia
Tatranec : )
Over 12 years of senior management experience in commercial / financial sectors
Directorial / Senior Managerial roles in Singapore listed company, MAS regulated Capital Markets Services (CMS) and Registered Fund Management Company (RFMC)
Proficient in Corporate Finance, Entity Structuring, Financial Compliance
Masters (Business Administration) at Queen Margaret University, BBA Honours (Business Administration) at National University of Singapore