Dipl.-Ing. Irina Kainz

Abschluss: 2003, Clark University, Business School of Management & Finance, MA, USA

Wien, Österreich

Fähigkeiten und Kenntnisse

Reliable leader acknowledged for profound knowledg
Areas of Expertise include: Strategic Planning
Corporate Investment Finance
Advising to Fund Asset Managers
advising to Supervisory Boards Executive Boards
global experience in investment banking
financial engneering quant finance
Financial Risk Management
Project management
Business Development Consulting
international exerience on stock exchanges
M&A Expertise
Strategy Development
top senior management positions
financial stransactions and valuations
Portfolio Management
Asset Management
Valuation of financial instruments
Leadership-Qualitäten
work well under pressure
success oriented
successful accomplishment of projects transactions
successful team-player
reliable business partner
Analyse

Werdegang

Berufserfahrung von Irina Kainz

  • Bis heute 7 Jahre und 8 Monate, seit Okt. 2016

    Investment Management/Risk Management

    Österreichische Beteiligungs AG (ÖBAG)

    Management of Investment Portfolio of the Austrian government-owned stakes in the companies Advisory for Supervisory Boards', Standing Committees' Meetings Detailed ad-hoc Valuation of Companies and Financial Analysis; Management of Investment Projects, M&As Focus on Commodity Sector (e.g. Oil & Gas, Energy; Metals & Mining) Risk Management

  • 7 Jahre und 8 Monate, Okt. 2007 - Mai 2015

    Senior Sell-Side Analyst (investment banking)

    Raiffeisen Centrobank AG

    Expertise with valuation for the purpose of IPO, SPO, other equity/bond issue plans and M&A activities. Exemplified abilities through presentations for institutional investors and internal bank divisions. Covered the Commodity sector Focused on coverage of multi-billion international companies Prepared ad-hoc research reports on sector/valuation updates. Issued investment recommendations for institutional investors. Know-How of Emerging Markets e.g. CIS countries (Focus Russia, Ukraine).

  • 1 Jahr und 4 Monate, Juni 2006 - Sep. 2007

    Senior Investment Analyst

    Sberbank

    Coverage of the sectors: machine-building/industrials and banking sector; consumer; commodities Valuation and analyses of the financial performance of the companies Preparation of research reports and investment recommendations for international institutional investors Analysis and forecast of the sector development potential; price forecast Presentations for institutional investors/funds/asset management Performed valuations and reports for IPO, SPO, M&A transactions

  • 11 Monate, Aug. 2005 - Juni 2006

    Senior Investment Analyst

    Foyil Securities New Europe

    Detailed analysis of the sectors: machinery, industrials, banking and commodity Full-scale valuation (DCF, DDM, NAV and RWA) Preparation of the research reports and recommendations (buy/sell/hold) on companies for investors and Foyil’s client base Management of Transactions - M&As (icl. IPOs; SPOs); fixed-income securities

  • 1 Jahr und 10 Monate, Okt. 2003 - Juli 2005

    Managing Director

    ISCGL Wealth Management Consulting/New York Stock Exchange

    Manage the company on behalf of the company owners Budget development Control and analysis of the financial statements in accordance with US GAAP and IAS Manage investment projects in Austria and Spain Work with European Investment Funds and Banks Evaluate risk/return characteristics of real estate projects. Portfolio analysis for clients: mortgage and loan evaluation Feasibility study, financial analysis for the clients

Ausbildung von Irina Kainz

  • 2 Jahre und 1 Monat, Mai 2016 - Mai 2018

    Financial Risk Management (FRM Charter)

    Global Association of Risk Professionals

    Financial Risk Management (including: market risk, credit risk, operational risk, cyber risk, strategic& reputational risk) valuations. Member of Global Association of Risk Professionals

  • 2 Jahre, Aug. 2001 - Juli 2003

    Master of Business Administration (MBA in Finance)

    Clark University, Business School of Management & Finance, MA, USA

    Financial Management; Financial Engineering; Corporate & Investment Finance Internship with focus and work on Asset Allocation Models. Use of Alternative Investment Strategies for Institutional Investors. Hedge Funds strategies. Performance evaluation techniques. Managed Futures strategies.

  • 5 Jahre und 1 Monat, Juli 1989 - Juli 1994

    Mathematics&Mechanics; Hydro-aero-dynamics; renewable Energy (wind)

    Dinpropetrovsk State University, Ukraine

    Advanced mathematics & mechanics; Engineering; Focus on Renewable sources of Energy e.g. Windpower. Diplom Engineer in Hydro-Aero-Dynamics

Sprachen

  • Deutsch

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  • Englisch

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  • Russisch

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  • Italienisch

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  • Ukrainisch

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21 Mio. XING Mitglieder, von A bis Z