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Kirill Komarov

Head of Investment Research at Tinkoff Bank

Kirill Komarov is the Head of Investment Research at Tinkoff Bank, a prominent financial institution in Russia. He has been in this role since April 2018, where he oversees the global multi-asset investment strategy for Tinkoff Investments. His focus includes servicing high-net-worth individual (HNWI) clients and developing a leading trading and wealth management platform for retail clients in Russia. His responsibilities encompass preparing quarterly strategic reports on global markets, identifying investment opportunities, and conducting in-depth analyses of companies in the Russian, US, and Chinese markets.1

Professional Background

Before his current position, Komarov worked at VTB Capital, where he held several roles related to equity research and analysis, particularly in the Oil & Gas sector. His experience includes:

  • Senior Analyst, Oil & Gas Research (July 2017 - January 2018)
  • Associate, Equity Research (February 2018 - April 2018)
  • Analyst, Oil & Gas Research (June 2015 - June 2017)

In these roles, he was involved in financial modeling, sector-wide analysis, and providing research support for investment opportunities.1

Education and Qualifications

Komarov holds two Master's degrees from Lomonosov Moscow State University: one in Financial Economics (2013) and another in Mathematics (2011). He is also a Level III candidate in the CFA Program, indicating his advanced knowledge in financial analysis and investment management.1

Skills

His expertise includes financial analysis, equity research, valuation, and strategic investment planning, with strong analytical skills and proficiency in mathematics. He is fluent in both Russian and English, which enhances his capability to engage in international markets.1

Related Questions

What are Kirill Komarov's key achievements at Tinkoff Bank?
How does Kirill Komarov's experience in the Oil & Gas sector influence his investment strategies?
What specific markets does Kirill Komarov focus on in his investment research?
How has Kirill Komarov's background in mathematics impacted his financial analysis?
What are some notable investment ideas Kirill Komarov has identified recently?
Kirill Komarov
Kirill Komarov, photo 1
Kirill Komarov, photo 2
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Experience

Head of Investment Research at Tinkoff Bank (April 2018 - Present)
Associate, Equity Research at VTB Capital (February 2018 - April 2018); Senior Analyst, Oil & Gas Research at VTB Capital (July 2017 - January 2018); Analyst, Oil & Gas Research at VTB Capital (June 2015 - June 2017); Fixed Term Analyst, Oil & Gas Research at VTB Capital (October 2014 - June 2015); Analyst, Business Valuation at ООО "Стремление" (December 2013 - August 2014)

Education

Master's degree in Financial Economics from Lomonosov Moscow State University (2011 - 2013); Master's degree in Mathematics from Lomonosov Moscow State University (2006 - 2011)

Location

Moscow, Moscow City, Russia