The company is composed of a team of professionals with a broad range of expertise and capital market knowledge matured over years spent in leading international financial institutions.

Management Team

Maciej Wisniewski Founder & Portfolio Manager

Maciej Wisniewski is the Founder and Portfolio Manager of Macromoney and he has full oversight of all company operations.

Maciej has 20 years of experience in investments management and in successfully setting up investment funds. He seeded Macromoney with the revenue from selling his stake of a previously owned investment fund company: Investors Investment Fund Company ("Investors TFI"), one of Poland's first privately owned investment fund management companies, which was established in 2005. Total AuM have risen in six years from $3,5mln to $700mln reaching 2% of the market share in Poland. Most of the closed-end funds are listed on the Warsaw Stock Exchange. Previously, he was Director of Trading at BZ WBK AIB Asset Management and was a highly successful Proprietary Trader for LG Bank. He began his career as a stock broker at Raiffeisen Capital and then Bank Millenium Securities.

Maciej holds a Master's degree in Finance from the London Business School and a second Master's in Finance and Banking from the Warsaw School of Economics.

Facts and figures from Investors TFI (2005-2011):

  • September 2005: established one of the first Polish hedge funds, long/short equities and commodities investing all over the world, 85% return since inception;

  • October 2006: established the first gold fund in Poland, 150% return since inception;

  • October 2007: established the first private-equity fund in Poland for private individuals, 50% return since inception;

  • September 2010: initiated and completed takeover of DWS (Deutsche Bank investment funds) arm in Poland, $450mln of AuM.

Simone Dalle Nogare Director

Simone Dalle Nogare has extensive knowledge of the investment funds industry gained in some of the leading fund service providers in Europe. Prior to joining Macromoney, where he serves as a Director, responsible for Investor Relations, Compliance and Risk Management, he served as Fiduciary Specialist at J.P.Morgan in Brussels, Belgium, where he was responsible for supervising and protecting the funds’ assets of the bank’s clients in order to safeguard the interests of the funds’ investors. Before this experience, he handled different roles at the Fundsettle Department of Euroclear Bank providing the bank’s client funds with the best ”Post Trade” service and execution.

Simone holds a Master’s degree in Management from the Vrije Universiteit Brussel and a second Master’s in Philosophy from the Universita’ degli Studi di Verona.

Andrzej Maniewski Managing Director

Andrzej Maniewski is in charge of the company operation. 

Andrzej has 20 years of experience in Marketing and Management gained in telco sector and financial services industry. He was the Marketing Director of Investors TFI, a fund management company for seven years. Previously, he worked as a Manager for Orange, telecommunication group, for Zurich, the Swiss insurance and financial group and for SMG/KRC (currently Millward Brown), a research company.

Andrzej holds a Master’s degree in Management and Marketing and a Bachelor's degree in Business Administration from the Warsaw School of Economics.

Radoslaw Pszczolkowski Macroeconomic Analyst

Radoslaw Pszczólkowski is an Analyst at Macromoney and the Founder and President of Excelling, a company specializing in supplying, processing and analysing data. His research focuses around a segment of SRI (Socially Responsible Investing) and the quality of macroeconomic data. Previously, he worked, among others, at Commerz Bank Poland (BRE Bank), PZU (the biggest CEE insurance company) and Analizy Online (independent investment research firm). He conducted various analytical training, among others, for the Warsaw Stock Exchange and international corporations.

Radoslaw holds a Master’s degree in International Financial Markets from the Faculty of Finance and Accounting at the Warsaw School of Economics and from the Economic Faculty at the Warsaw University of Life Sciences.

Piotr Kawala Macroeconomic Analyst

Piotr Kawala is an Analyst at Macromoney and at Excelling, a company specializing in supplying, processing and analysing data, and he specializes in macroeconomic analysis, especially in the field of monetary policy. He gained the experience working at National Bank of Poland, Polish Ministry of Economy, Bank Millennium and Analizy Online (independent investment research firm).

Piotr holds a Master’s degree from the Warsaw University of Life Sciences. He wrote his thesis on the impact of monetary policy on financial markets and on real economy during the crisis. He is also lecturer at the Warsaw School of Economics.

Piotr is author of numerous comments on economic topics that are published, among others, on the Warsaw Stock Exchange Media.