Daniel Alexandrov is a skilled finance professional with extensive experience in portfolio management, currently serving as a Portfolio Manager and previously as an Associate Portfolio Manager at Barak Capital since September 2017. Daniel's expertise encompasses DM and EM government debt, interest rates derivatives, FX swaps, and FX options. Prior to this role, Daniel worked in risk management as a Wine Manager at The Norman Tel Aviv from December 2014 to January 2016. Daniel holds a Bachelor's degree in Business Administration with a concentration in Finance and Capital Markets from The College of Management Academic Studies, achieved between 2017 and 2021, and a Level 3 qualification in Oenology from the Wine & Spirit Education Trust, completed in 2016.
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