
About Us
Discover who we are and our background that might help you.
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FINANCE RESOLUTION
Built on a successful, proven track record and more than 19 years of experience in portfolio management, Finance Resolution is a cutting-edge platform for research, education, advisory, and strategy development in portfolio and risk management.
Dr. Gueorgui S. Konstantinov, CAIA, FDP is a Senior Portfolio Manager for Fixed Income and Currencies at Deka, based in Frankfurt am Main, Germany. Previously, he served as an Investment Director, responsible for the research, development, and implementation of quantitative models, strategies, and concepts for single hedge funds and funds of hedge funds (FoHF).
Before that, he held the role of Senior Portfolio Manager for Fixed Income and Currencies, focusing on alpha generation across fixed income, currency, and multi-asset portfolios. His work included conducting quantitative research and contributing to the investment process through both judgment-based and quantitative analysis.
With over 19 years of investment experience, Dr. Konstantinov has held senior portfolio management positions at several asset management firms in Vienna, Stuttgart, and Frankfurt am Main. There, he was responsible for investment decisions and the development of investment processes for fixed-income and currency portfolios.
He has been recognized with several Morningstar ratings, including:
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5-Star and 4-Star ratings for “Global Bonds” in 2022,
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5-Star rating for “Global Bonds” in 2012 (top percentile),
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4-Star rating for co-managing “CEE Equities” in 2007, and
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5-Star rating for co-managing “CEE Bonds” in 2007.
Dr. Konstantinov was an adjunct lecturer at the Vienna University of Economics and Business (WU), where he taught Fixed Income Portfolio Management from 2009 to 2013.
He has published extensively in finance and investment journals and serves as a referee for some of the most prestigious academic publications in the field. He is a member of the editorial advisory boards of several leading journals - The Journal of Portfolio Management, The Journal of Alternative Investments, and The Journal of Financial Data Science and currently serves as the Executive Director for the German Chapter of the Chartered Alternative Investment Analyst (CAIA) Association.
Dr. Konstantinov holds a Master of Science (M.Sc.) in Economics (2005) and a Doctorate in International Finance (2008) from the Vienna University of Economics and Business. He is a Chartered Alternative Investment Analyst (CAIA) and a Financial Data Professional (FDP) charterholder. His research and professional interests include portfolio and risk management, alternative investments, graph theory, economics, physics, machine learning, and financial data science.

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