
Anton Almazov
CFA, FRM, FMVA, CIPM
Portfolio Manager
Anton Almazov is a seasoned investment industry professional, with over 10 years of experience. His expertise encompasses portfolio management, investment analysis, and economic market analysis, underpinned by a strong academic foundation and a suite of prestigious designations. Anton is a Chartered Financial Analyst (CFA), a Financial Risk Manager (FRM), a Financial Modeling & Valuation Analyst (FMVA), and a holder of the Certificate in Investment Performance Measurement (CIPM). He earned his Bachelor of Commerce, with a focus on finance and economics, from the University of British Columbia, further refining his skills through pivotal roles at a leading Canadian bank and a specialized wealth management firm.
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Throughout his career, Anton has been at the forefront of developing innovative investment solutions that cater to the unique needs of high-net-worth individuals and institutional clients. His approach combines deep market and economic analysis, the application of advanced financial tools, and a keen understanding of economic trends to optimize asset allocation and enhance portfolio performance.
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As an active member of the CFA Institute, Anton maintains his dedication to continuous professional growth. He furthers his expertise by delving into the latest investment research, pursuing additional courses, and staying abreast of the current market developments. This commitment ensures that his clients’ portfolios are strategically aligned for success in an ever-evolving financial landscape.
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Anton’s guiding philosophy is predicated on enhancing the well-being of everyone who enters his life and adhering to core values in every decision. This ethos manifests in a client-centric approach characterized by his open-door policy, transparent communication, and tailored advice.