We are a leading enterprise technology service provider making alternative assets digital and liquid
Our core product BLAUHILL (®) is a scalable pan-European digital investment platform providing alternative asset managers with a comprehensive infrastructure to bring transparency and liquidity to alternative assets ranging from real estate, infrastructure, natural resources to private equity categories.
We excel in turning both intangible and tangible parts of alternative assets to a secured and compliant digital form. Our niche stands in creating new and innovative ways to establish more effective decision making process among stakeholders involved in alternative investments, especially those that involve real assets. The ultimate goal of our solution is to empower total investment experience while levelling up credibility and integrity of the traditional and private asset classes and its care takers.
The Platform core functionalities focus on primary and secondary market activities for alternative assets and deliver online search, match and invest capabilities into partial investments in a form of equity and debt financial instruments utilising distributed ledger technology.
Marek oversees product development and its distribution.
He holds Kellogg-WHU Executive MBA from the J.L. Kellogg Graduate School of Management at Northwestern University and WHU Koblenz, Germany as well as MSc Finance & Investments from CASS Business School, London, UK.
Prior to founding BLAUHILL venture project, Marek had gained institutional experience in primary and secondary capital markets overseeing global Eurobond financial products at two top European Banking Groups. His expertise covers asset valuation, strategy, trading, portfolio management as well as business development.
He initiated and led tokenisation of a residential real estate project in Central and Eastern Europe, where he gained expertise in capital structuring, private placement fundraising as well as equity distribution.
LEGAL, REGULATORY & COMPLIANCE
Gueorgui takes care of legal, regulatory and compliance.
He holds a LL.M. in International Financial Law from the University of Paris I - Panthéon Sorbonne and has completed full qualification in Luxembourg law from the University of Luxembourg.
His career started in Capital Markets at Shearman & Sterling LLP in Paris. Later he worked at Bank, Finance and Investment Fund arms of a tier one law firms based in Luxembourg.
Gueorgui focuses on micro-structure of financial markets and is fluent in investor on-boarding automation, KYC, AML/CFT and CRS/FATCA compliance.
He has also co-authored a research paper on blockchain, virtual assets and anti-money laundering.
Juraj oversees technology and risk management.
He holds a Kellogg-HKUST Executive MBA from J.L. Kellogg Graduate School of Management at Northwestern University and HKUST, Hong Kong as well as BCom (Hons) in Finance from UWA, Australia. He also possesses certifications in AI engineering and strategy, deep learning, R, Python, IoT and cryptography.
Juraj has over 20 years of hands-on practical experience in global capital markets, building and utilizing trading, hedging and risk management platforms with deep understanding of commodities, FX, fixed income and equity financial products from a top tier Australian investment bank.
Aside, Juraj is an Adjunct Lecturer in Banking, Finance and Technology at UNSW in Sydney with research interests in applied AI, deep learning, risk mitigation, asset pricing and tokenisation, ESG investing, behavioural finance and consumer choice.