Zsófia Béri
Portfolio ManagerShe graduated from Corvinus University of Budapest in the summer of 2020 with a master’s degree in finance and a specialisation in Investment Analysis.
She started her fund management career during the Msc programme, joining Aegon Asset Management in the summer of 2018 as a junior analyst, strengthening the bond business.
From January 2021, she has reinforced the portfolio manager team, currently managing money market funds – VIG Polish Money Market Investment Fund and VIG Hungarian Money Market Investment Fund.
Her main areas of interest include inflation and macroeconomic environment analysis.