Management

Management

Board of Directors

He was born in Kragujevac on September 1, 1973. He graduated from the Faculty of Mechanical Engineering, University of Kragujevac.

 

He started his career in 1999, as an assistant at his alma mater.

 

Three years later, he joined Philip Morris International, where he was able to gain in-depth understanding of the operation of several organizational units, from production to sales and distribution.

 

In 2008 he was the Head of the Business Center at Zastava Promet Kragujevac. Among other things, he was in charge of the FIAT cars sale organization, in line with FIAT’s requirements and procedures.

 

He joined Generali Kragujevac branch in 2012, handling the sale of voluntary pension fund and private health insurance.

 

In 2013 the Assembly of the City of Kragujevac appointed him Managing Director of JSP "Kragujevac".

 

Following a one-year term in the public sector he returned to Generali Voluntary Pension Fund Management Company. He held all the sales positions: from Sales Agent and Sales Manager, to the Head of the Sales Department.

 

In October 2021, he was appointed Chairman of the Board of Directors and Executive Director of Generali Voluntary Pension Fund Management Company.

Patrick Hudec
Nationality: Czech Republic
Date of birth: January 29, 1982

 

Professional experience
Since January 2016, Head of Fund  Portfolio Management in Generali Investments CEE, investični společnost, a.s. (Prague, Czech Republic): in charge of a team of four portfolio fund managers managing (non) UCITS funds and  funds of qualified investors of Generali Investments CEE, investični společnost, a.s. and UCITS umbrella fund Generali Invest CEE plc
Since December 2015, Director to the Board of Generali Investments CEE plc (Dublin, Ireland), an Irish umbrella investment company with segregated liability between sub-funds
2014-2015 Senior portfolio manager at Generali Investments CEE, a.s: equity and fund investments across Generali CEE Holding entities & fund portfolio management
2007-2014 Portfolio manager in Generali PPF Asset Management, a.s: managing investments across all assets classes for institutional and private clients, mutual & pension funds
2011-2012 Member of the Supervisory Board of Closed-End Non- Diversified corporate Investment Fund "Ukrainian Index Fund": supervisory responsibilities
2006-2007 portfolio manager junior in PPF Asset Management, as.: cash management & support for portfolio managers
2005-2006 specialist of portfolio administration in PPF Asset Management, a.s.: discretionary portfolios reporting, co - development of Port.Pro in -house system
2004-2005 administration field referents in Češká pojišťovna, a.s. discretionary portfolios reporting

 

Education / training, foreign languages
2009 – Master degree, financial and insurance mathematics, Faculty of Mathematics and Physics, Charles University in Prague
2011 Cambridge ESOL Certificate in ESOL International Cambridge English: Advanced
2008. Bloomberg Product Certifications: fixed Income and Equity
2007 broker and portfolio management licenses, the Czech National Bank

She was born in Belgrade in 1989. She graduated in 2012 from the Faculty of Economics, University of Belgrade, where she then enrolled in the International Master in Quantitative Finance (IMQF). As part of her professional training, she passed the CFA level I and II exams at the American CFA Institute. She acquired the title and license to perform the duties of a portfolio manager issued by the Republic of Serbia Securities Commission in 2018.

 

She started her career in Generali Osiguranje Srbija and the Generali Voluntary Pension Fund Management Company in January 2014. In these companies, she initially worked as an Investment Analyst and Financial Risk Management Officer. Since 2016, she has taken on the role of Portfolio Analyst at the Generali Voluntary Pension Fund Management Company and has been promoted to the position of Senior Investment Analyst at Generali Osiguranje Srbija. Since then, she has been actively involved in portfolio monitoring and analysis, results projection and market analysis. As an asset manager at Generali Osiguranje Srbija, since 2019 she has been in charge of all aspects of investment and distribution of life and non-life insurance placements, maximizing returns for a given risk. As part of the Generali Group’s Mini-mobility Program, in the spring of 2019 she worked in Hungary with the company that manages pension and investment funds, Generali Alapkezelő.

 

As of April 2022, she was promoted to the position of Director of Asset Management in Generala Osiguranje Srbija.

 

Within the Generali Voluntary Pension Fund Management Company, in the period from August 2021 to May 2022, she held the position of portfolio manager, while from July 2022 she held the position of Executive Director of the Company.

Investment Board

She was born in Belgrade on December 7, 1978. She graduated early from the Faculty of Economics, University of Belgrade, with 9.81 GPA.

 

She started her career in 2001 at the Foreign Exchange Reserves Management Department of the National Bank of Serbia, where she soon became the youngest chief dealer/portfolio manager in the history of the NBS. She was in charge of managing a portfolio of securities, which account for the largest part of the National Bank of Serbia’s foreign exchange reserves.

 

In August 2005, she was appointed Manager of the Asset Management Department at Piraeus Bank a.d. Belgrade, working on its establishment and organization.

 

She joined Generali in September 2006 as the first portfolio manager of the first voluntary pension fund in Serbia.

 

From 2007 to 2016, she was the Head of Generali Voluntary Pension Fund Management Company as the Chairwoman of the Board of Directors and the CEO. Since 2011, she has also been responsible for managing the assets/capital of all companies under Generali Osiguranje Srbija (insurance, reinsurance) and Generali Osiguranje Montenegro.

 

She has been a member of the Executive Committee of Generali Osiguranje Srbija since 2012, and as of 2016 she is also a member of the Executive Board of the company, in charge of asset management and financial transactions.

 

She is responsible for the Generali Voluntary Pension Fund Management Company (Belgrade), and she coordinates its operations.
Since August 2017, she has been directly coordinating the Life Insurance and Bancassurance Department at Generali Osiguranje Srbija, and as of April 2021, she is a member of the Executive Board and Chief Investment Officer. She became Chief Distribution Officer in the same year. She is responsible for Generali Osiguranje Srbija’s overall distribution and coordination of the Internal Sales Department, the External Sales Department and the Corporate Clients Department.

 

In 2005, she earned the highest, globally-recognized professional designation in the field of investment decision making: Chartered Financial Analyst (CFA), issued by the American CFA Institute, and the first Portfolio Manager license issued by the Republic of Serbia Securities Commission.

 

She has also worked as a teaching assistant at the Faculty of Economics, Belgrade University, and a CFA exam preparatory courses instructor.

She was born in Belgrade in 1989. She graduated in 2012 from the Faculty of Economics, University of Belgrade, where she then enrolled in the International Master in Quantitative Finance (IMQF). As part of her professional training, she passed the CFA level I and II exams at the American CFA Institute. She acquired the title and license to perform the duties of a portfolio manager issued by the Republic of Serbia Securities Commission in 2018.

 

She started her career in Generali Osiguranje Srbija and the Generali Voluntary Pension Fund Management Company in January 2014. In these companies, she initially worked as an Investment Analyst and Financial Risk Management Officer. Since 2016, she has taken on the role of Portfolio Analyst at the Generali Voluntary Pension Fund Management Company and has been promoted to the position of Senior Investment Analyst at Generali Osiguranje Srbija. Since then, she has been actively involved in portfolio monitoring and analysis, results projection and market analysis. As an asset manager at Generali Osiguranje Srbija, since 2019 she has been in charge of all aspects of investment and distribution of life and non-life insurance placements, maximizing returns for a given risk. As part of the Generali Group’s Mini-mobility Program, in the spring of 2019 she worked in Hungary with the company that manages pension and investment funds, Generali Alapkezelő.

 

As of April 2022, she was promoted to the position of Director of Asset Management in Generala Osiguranje Srbija.

 

Within the Generali Voluntary Pension Fund Management Company, in the period from August 2021 to May 2022, she held the position of portfolio manager, while from July 2022 she held the position of Executive Director of the Company.

Graduated economist from the Faculty of Economics, University of Belgrade, born February 5, 1977. He has many years of experience in working on financial markets and with investment instruments. He began to gain his first experience in the market in 2007, working as a broker, first at BDD Confidence, and later at Hypo Alpe Adria Securities. Since 2012, he has been taking on the role of Portfolio Manager at Kombank Invest, where he successfully managed the assets of three investment funds that invested in various forms of assets - on the domestic and foreign stock markets, bond markets and the money market. In 2017, he moved to UniCredit Bank, where he was in charge of the development, implementation and sale of derivative financial instruments for protection against market risks of currencies, interest rates and stock exchange commodities and raw materials in the Financial Markets Directorate. In addition, he was a participant in the structuring and realization of several project financing transactions.

 

In addition to broker and portfolio manager licenses, he also holds a CFA certificate, which he obtained in 2014 after passing the exams for all three levels of the CFA Institute. He upgraded his expertise in the field of financial markets and investments in 2018 by passing the CIPM (Certificate in Investment Performance Measurement) certificate exam organized by the CFA Institute. Then in 2019, as the first candidate from Serbia, he passed the exam and obtained a certificate in the analysis and management of alternative investments CAIA (Chartered Alternative Investments Analyst) organized by the CAIA association. At the beginning of 2022, he passed the exam and obtained a certificate in ESG investing organized by the CFA Institute.

 

He is an active member of CFA Serbia and CAIA London.

 

It will become part of Generali Serbia in May 2022.