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We care about fund performance 🚀 We are 365.invest portfolio managers
No robots or automatic systems here. Above all else, we're human. We personally analyze financial market data every day. We invest on stock exchanges every day, buy and sell stocks, bonds, and ETFs. Our hard work relieves you of the burden of daily news and market monitoring. We try to ensure the most effective return on your investments. It might well sound complicated. But for us, it's so much fun. 😉
Meet our team
The 365.invest portfolio manager team is led by Ing. Matej Varga, PhD., CFA, an experienced quantitative multi-asset portfolio manager with over 15 years of experience in the sector. He successfully passed the exacting three-level exams of internationally recognized certificate of financial analysts - Chartered Financial Analyst® and also has a doctorate in finance. He personally manages 12 open-end mutual funds and 3 pension funds. He enjoys writing investment-focused accessible articles.
Ing. Martin Labaj, MSc. is our youngest member of the portfolio management team. He participated in the double diploma program in cooperation with the University of Economics in Bratislava and prestigious Nottingham Trent University (UK), graduating with honours in international finance. His studies in the UK focused mainly on portfolio management, derivatives markets, and international trade. His studies also included various development activities in leadership and corporate banking.
The most senior member of our team is Ing. Marián Pukač, a graduate of the Faculty of Business Management at the University of Economics in Bratislava with a focus on corporate finance. Prior to working in portfolio management, he held several positions in banking and valuing our funds. Extensive knowledge and overview of investment processes is now applied and rewarded when working in portfolio management.
Our values and principles
We aim to outperform the largest asset managers in Slovakia and also compete with the most prominent managers abroad.
We use the latest approaches
We apply state-of-the-art progressive, scientifically-based methods and knowledge in managing our clients' assets.
We actively manage our portfolio
Thanks to this, we can use and effectively combine different investment approaches to achieve a better risk-return profile.
Falling markets embolden us
Because we can use them to benefit our clients. We flexibly change the ratio of components in our funds and adapt them to current trends. This strategy enables you to profit even when the market is underperforming.
We manage various fund types
With us, you can choose from a range of specifically oriented as well as complex products that excel in attractive portfolio composition, efficiency and flexibility.
We use in-house financial modelling
Our professional multi-asset team of portfolio managers has internally developed models to ensure consistency and maximum discipline of investment process.
Over 90 actively cooperating partners form a wide global network, giving us immediate access to any targeted investment opportunity.
On the domestic market this includes 365.bank, J&T Banka, Slovenská sporiteľňa, Československá obchodná banka, Všeobecná úverová banka, Tatra Banka, Unicredit, and Privat Banka. On the foreign market this includes: