Mátyás Király-Kovács

Portfolio Manager

He graduated from Corvinus University of Budapest in 2006, majoring in Finance.

From 2007 he worked as a financial analyst at Morgan Stanley.

From 2008 he was a macroeconomic, money and capital markets analyst at Raiffeisen Bank.

From 2012 he was a bond portfolio manager at K&H Fund Management.

From 2022, he was a portfolio manager at Union Insurance Company.

In 2023 he continued his career as a bond portfolio manager at VIG Asset Management, where he has been responsible for managing more than HUF 100 billion of assets.

He is involved in the management of the VIG Maraton ESG Absolute Return Investment Fund, as well as institutional and unit linked portfolios.