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Piotr Zieliński

Market Analyst

Piotr Zieliński

biuro@vistula-wealth.pl

Analysis of corporate bondsInvestment portfolio auditInflation forecastsValuation of non-financial assets

Focused on numbers, not stock market gossip

Piotr joined Vistula Wealth Advisors in January 2017, coming from the risk analysis department of one of the largest banks in Warsaw. He doesn't like fluff about trends. Instead, he recalculates spreadsheets every day, looking for real value in bonds and real estate. His job is to ensure your money doesn't lose value when the market panics.

In 2023 alone, Piotr analyzed 114 corporate bond issues. He rejected 93 of them due to excessive risk hidden in the fine print of contracts. This specific action protected the capital of 47 of our key clients. Piotr believes that numbers speak for themselves and don't need adjectives to sound credible. We protect what you built, relying on hard data.

Experience you can see in the portfolio

Piotr does not deal in speculation. His time horizon is usually 5-10 years. During this time, he focuses on building stable foundations for wealth. At Vistula Wealth Advisors, he is responsible for quarterly stability reports, which our clients always receive by the 12th day after the end of the quarter. The average time for him to prepare an individual risk valuation for a new asset is exactly 3 business days.

  • He has prepared 487 analytical reports since he started working with us.
  • He detected errors in the valuations of 14 investment funds in the last six months.
  • He successfully reduced exposure to risky emerging markets for 32 families.

He can be stubborn when he sees a threat others don't notice. Honestly, it's this trait that makes him the most effective analyst in our team. If Piotr says something is too risky, we simply don't buy it. No exceptions. (P.S. If you want to see what his sample report from July 2024 looks like, let us know – we'll be happy to share it).