Bianca has over fifteen years’ experience in the financial markets industry, developing her career by being involved in several areas of asset management business. She has been a CFA charterholder since 2010 and gained the risk management PRMIA PRM™ Designation in 2021.
With a focus on fixed income portfolio management, macroeconomic analysis and derivatives, she is currently Portfolio Manager within Raiffeisen Asset Management, being responsible for the active management of several mutual funds and a voluntary pension fund. Through the years she was involved in voluntary financial education programs structured by CFA Society Romania and The Romanian Financial Supervisory Authority.