Marko Kozina

Cross Asset Portfolio Manager Execution at ETHENEA

Marko Kozina is a experienced Cross Asset Portfolio Manager Execution who has worked in various financial institutions where Marko has held roles such as Investment Director/Advisor, Senior Securities Sales/Portfolio Manager, and Head Of Fixed Income. Marko has expertise in managing portfolios across various asset classes including Equities, ETFs, Fixed Income, and Derivatives. Marko holds a Master's degree in Economics from the University of Zagreb.

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