Dmitri Tikhonov is a Co-CEO and Chief Investment Officer with over two decades of experience in financial markets. His career is built on an engineering background with a focus on systems and mathematical modelling, starting in quantitative research where he developed statistical models for investment processes.
He has a proven record of managing portfolios through significant market events, including the Global Financial Crisis, periods of zero interest rates, and the Swiss National Banks FX market interventions.
Read the full overview →Behavioral traits and communication patterns that shape how this person evaluates opportunities, builds trust, and makes decisions in professional settings.
Dominance, influence, steadiness, and calculativeness scores with guidance on how this person prefers to communicate and decide.
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