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Gergely Máriás

Portfolio Manager

He completed his undergraduate studies in Business Informatics at the Corvinus University of Budapest in 2022. Afterwards he earned his Master’s degree in 2024 from the Erasmus School of Economics at Erasmus University Rotterdam, a highly ranked and leading European institution, specializing in Data Science and Marketing Analytics.

Pivoting his strong IT background toward finance, his primary research and professional focus became the development and automation of trading algorithms using big data analytics. After living abroad for three years, he moved back to Hungary in 2025 and joined VIG Asset Management on the Multi-Asset & Quantitative Strategy desk.

His core responsibilities include the in-depth research of quantitative investment strategies, the development and testing of algorithmic source codes, and the automated, programmatic implementation of successful research models into daily operations.

CFA Candidate.