Gábor Németh

Senior Portfolio Manager

Gábor Németh graduated from the Budapest Corvinus University in 2009 with a Bachelor’s degree in Economics, and in 2011 he completed his Master’s degree in Finance as the top student of his class.
In 2011, he joined the asset management team of AEGON Asset Management, initially as an analyst, later becoming a Senior Fixed Income Portfolio Manager. His responsibilities include developing the firm’s currency strategy as well as participating in investment decision-making for several multi-asset portfolios.

He first expanded his investment knowledge in 2012 through the “Wealth, Fund, and Portfolio Management” program of the International Training Centre for Bankers. Between 2013 and 2015, he successfully passed all three levels of the Chartered Financial Analyst (CFA) Program, earning the globally recognized CFA charter in 2015.

In addition to managing the VIG Polish Bond Investment Fund and, from 2025, the VIG Hungarian Bond Investment Fund, he is also involved in managing reserve portfolios of regional insurance companies, voluntary pension fund portfolios, as well as various total return, absolute return, and mixed funds (such as the VIG Panorama Total Return Investment Fund).

His analyses and market commentaries are regularly featured in economic media and by leading news agencies. In 2014, he entered the Haszon Magazine Investment Competition, which he went on to win in 2015. In 2014, 2015, 2016, 2018, and 2019, the VIG Hungarian Money Market Investment Fund he managed was recognized as the best in its category. In 2020, the VIG Polish Bond Investment Fund was named the year’s best long-term bond fund.

His main fields of interest include investor psychology, technical analysis, and value-based investment philosophy.