Mehmet Sinan Veziroglu
Manager at Rota Portföy- Claim this Profile
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Bio
Experience
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Rota Portföy
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Türkiye
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Financial Services
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1 - 100 Employee
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Manager
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May 2023 - Present
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Ak Asset Management
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Türkiye
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Financial Services
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1 - 100 Employee
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Assistant Manager
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Apr 2021 - May 2023
• Manage both mutual and pension funds consisting of government and corporate bonds, sukuks• Structure and manage Capital Protection Funds with various underlying assets such as precious metals, technology stocks, e-commerce stocks and EV stocks• Conduct fundamental credit and relative value analysis of TL-denominated corporate bonds
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Senior Portfolio Manager
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Jan 2020 - Apr 2021
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İş Asset Management
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Türkiye
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Investment Management
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1 - 100 Employee
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Portfolio Manager
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Jan 2019 - Jan 2020
Fixed Income Portfolio Management• Manage both mutual and pension funds consisting of government and corporate bonds• Conduct fundamental credit and relative value analysis of TL-denominated corporate bonds in order for both generating trading ideas and ensuring the validity of internal credit opinion• Report to the head of Fixed Income Portfolio Management
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Portfolio Manager
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Jul 2017 - Dec 2018
Alternative Investments Portfolio Management• Manage mutual funds consisting of a wide range of assets, including corporate bonds, equities and gold• Manage a sustainable fund regarding Electric Vehicles investing in the entire EV production process• Report to the head of Alternative Investments Portfolio Management
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ÜNLÜ & Co
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Türkiye
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Financial Services
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200 - 300 Employee
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Corporate Bond (Credit) Research Analyst
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Jul 2015 - Jul 2017
• Perform bottom-up, fundamental credit analysis on corporate bond issuers for both corporate and financials. • Publish sector/company reports and thematic reports. • Participate in corporate debt issuance process encompassing credit research, financial modelling and relative valuation analyses for clients and prospective investors. • Attended a four-day workshop regarding Emerging Market Corporate Credit at Fitch Ratings (London). • Perform bottom-up, fundamental credit analysis on corporate bond issuers for both corporate and financials. • Publish sector/company reports and thematic reports. • Participate in corporate debt issuance process encompassing credit research, financial modelling and relative valuation analyses for clients and prospective investors. • Attended a four-day workshop regarding Emerging Market Corporate Credit at Fitch Ratings (London).
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HSBC
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United Kingdom
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Financial Services
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700 & Above Employee
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Corporate Bond (Credit) and Quant Analyst
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Oct 2014 - Jun 2015
• Conduct fundamental credit analysis on corporate bond issuers for both corporate and financials. • Work closely with portfolio managers to identify appropriate fixed income investment opportunities and provide credit recommendations. • Actively monitor latest news/events/developments related to the issuers and industry sectors to ensure the validity of internal credit opinion. • Present comprehensive and well thought-out credit analysis for actively participate in Global Credit Research committee • Participate in other ad-hoc projects/requests of Multi Asset Desk. Show less
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Alternatif Yatırım
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Türkiye
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Capital Markets
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1 - 100 Employee
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Derivatives Sales Trader
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Oct 2013 - Sep 2014
Equity Derivatives, FX and Global Products • Deep understanding of options pricing in both vanilla and exotics. • Trade options (both equity and FX) on the OTC platform. • Generate trade ideas for the sales team and hedging strategies by equity derivatives. • Assist and educate the equity sales team on products (Swap-deposit, DCD, FX and Equity derivatives). • Produce equity derivatives reports including trading color in scope of volatility. Equity Derivatives, FX and Global Products • Deep understanding of options pricing in both vanilla and exotics. • Trade options (both equity and FX) on the OTC platform. • Generate trade ideas for the sales team and hedging strategies by equity derivatives. • Assist and educate the equity sales team on products (Swap-deposit, DCD, FX and Equity derivatives). • Produce equity derivatives reports including trading color in scope of volatility.
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Università Bocconi
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Italy
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Education Administration Programs
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700 & Above Employee
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Teaching Assistant
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Sep 2012 - Sep 2013
Teaching Assistant - Course: Financial Markets and Institutions Teaching Assistant - Course: Financial Markets and Institutions
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Education
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London School of Economics and Political Science
MSc, Finance and Economics -
Bocconi University
M.Phil, Economics and Finance -
University of London
BSc, Mathematics and Economics -
İstanbul Bilgi Üniversitesi
BSc, Mathematics and Economics (Honours); English -
Sekine Evren Anadolu Lisesi
High School, Sayisal