Profile
Mr. Plamen D.
Dokov, CFA, is a Deputy Chief Investment Officer at Carrhae Capital LLP.
He has over 20 years of experience.
Mr. Dokov joined Carrhae Capital at its inception from SAC Global Investors where he was a Senior Analyst focussed on the Energy sector.
Prior to that, he was an Associate with the Morgan Stanley Principal Strategies group, covering pan-European special situations.
He began his career as an analyst at Lazard where he focussed on generalist M&A practices.
He is a CFA Charterholder and holds a BA in Economics and Business Administration from the University of Sofia in Bulgaria.
Plamen Dimitrov Dokov active positions
| Companies | Position | Start |
|---|---|---|
Carrhae Capital LLP
Carrhae Capital LLP Investment ManagersFinance Carrhae intends to pursue their investment strategy through the construction of a diversified portfolio of both long and short positions, predominantly in publicly listed global equities. The firm seeks to achieve this objective throughout market cycles with relatively low volatility, a low correlation to equity market indexes, and little directional bias or correlation to emerging market indices. They seek investment opportunities in all global markets, although a particular focus is expected to include issuers operating in or substantially exposed to emerging markets in Asia, Latin America, Eastern Europe, the Middle East, and Africa. | Director of Research - Equity | 2019-12-31 |
Training of Plamen Dimitrov Dokov
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Private companies
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1st degree companies
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| Private companies | 2 |
|---|---|
University of Sofia
University of Sofia Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Carrhae Capital LLP
Carrhae Capital LLP Investment ManagersFinance Carrhae intends to pursue their investment strategy through the construction of a diversified portfolio of both long and short positions, predominantly in publicly listed global equities. The firm seeks to achieve this objective throughout market cycles with relatively low volatility, a low correlation to equity market indexes, and little directional bias or correlation to emerging market indices. They seek investment opportunities in all global markets, although a particular focus is expected to include issuers operating in or substantially exposed to emerging markets in Asia, Latin America, Eastern Europe, the Middle East, and Africa. | Finance |
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