Emerging perspectives
Can Poland turn paradox into promise?
In recent years, investors in Poland’s debt have flocked to the exit, despite the country’s strong macroeconomic foundations. What lies behind this trend and what might reverse it?
Michail is an investment specialist and portfolio manager in the Fixed Income team at Ninety One. He is responsible for CEEMEA.
Prior to joining the firm, Michail worked as a consultant in financial risk management for Barra International.
Michail gained with distinction a Master of Science degree in Financial Economics from the University of Cardiff and a Master of Science degree in International Business from the University of London. He graduated with an honours degree in Accounting, Finance and Economics from the University of Kent in 1999.