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Dr. Uwe Bergold
For over five years Uwe Bergold was head of one of the first asset management companies in Germany focusing on precious metal and commodity investments. In his publications, he warned of the stock cra ...
www.gr-assetmanagement.de

For over five years Uwe Bergold was head of one of the first asset management companies in Germany focusing on precious metal and commodity investments. In his publications, he warned of the stock crash in March 2000, and one year later accurately predicted the gold boom. Since then his investment focus is on the gold and commodity sector. Uwe Bergold is fund manager and author of various books.

 

His book "Investmentstrategien mit Rohstoffen" (Investment Strategies with Commodities) by now is one of the standard works on the topic. From 2001 to 2007, he was a lecturer at the University of Applied Sciences Amberg-Weiden and guest lecturer at a university in Poznań, Poland. From 2001 to 2003, Bergold was a lecturer at  Sparkassenakademie Bayern in Landshut and, from 2004 to 2006, he was a lecturer at Deutsche Sparkassenakademie in Bonn. Since 2005 (when the fair took place for the very first time), he is one of the speakers at the International Precious Metals & Commodities Show in Munich. Bergold is responsible for the investment strategies of three investment funds: pro aurum ValueFlex, NOAH-Mix OP and GR Dynamik OP.

Jürgen Birner
The intensifying debt and government crises around the world are continuously unsettling the international capital markets which are signaling a move away from debt-based paper assets towards real val ...
www.proaurum.de

The intensifying debt and government crises around the world are continuously unsettling the international capital markets which are signaling a move away from debt-based paper assets towards real value. This development did not only come into existence during the 2008 financial, banking and economic crisis that was triggered by the US subprime crisis, but started long before that.

 

The main part of Mr. Birners presentation contains a long-term analysis of capital markets and their market cycles as well as a look into the future. He will also investigate the pros and cons of all asset classes as investors should be aware that there have not been any risk-free investments for a fairly long time!

Markus Blaschzok
Markus Blaschzok, Dipl.-Betriebwirt (Diploma in business economics), CFTe, was born in 1979 and is the author of a popular free market commentary and an exclusive stock market letter, which co ...
www.BlaschzokResearch.de

Markus Blaschzok, Dipl.-Betriebwirt (Diploma in business economics), CFTe, was born in 1979 and is the author of a popular free market commentary and an exclusive stock market letter, which concentrates on the precious metals and commodities markets. Previously, he worked as chief analyst for a major precious metals trader. Already in 2001, he joined the professional association of technical analysts for financial markets and during his studies, he focused on the Austrian School of Economics, which he also dealt with in his diploma thesis. The combination of these special fields enabled him to develop a holistic analysis approach, reflected in his analyses and commentaries about economic developments. As a renowned expert for analyses of the U.S. futures market he publishes a comprehensive weekly CoT report that gives its readers an advantage at the markets, particularly traders. Trading of precious metals supplements his works.

Ralf Borgsmüller
Ralf Borgsmüller has been a Partner at PSM Vermögensverwaltung GmbH in Grünwald near München since 2003. PSM is Germany's oldest private asset management independent of banks (foun ...
www.psm-vermoegen.de

Ralf Borgsmüller has been a Partner at PSM Vermögensverwaltung GmbH in Grünwald near München since 2003. PSM is Germany's oldest private asset management independent of banks (founded in 1965). Mr Borgsmüller and PSM in time correctly projected the assessment crisis 2000-2003, the big financial crisis 2008-2009 and the debt crisis 2010-2011, even in well-known media. Thus, the PSM was able to avoid losses for its customers in all three crises and to even achieve profits.

 

Prior to joining PSM, Ralf Borgsmüller held management positions at renowned asset management companies, most recently he was executive partner of a large private German Family Office. With over 30 years of experience in the financial and capital markets as well as numerous presentations for various workshop organizations he has earned himself a well founded reputation in the domain of financial markets and private asset management.

Dipl.-Ing. Peter Denk
As a graduate engineer, Peter Denk formerly worked for well-known companies in the IT sector for over 20 years. Thanks to his scientific education, he is accustomed to carrying out unbiased analyzes ...
www.krisenrat.info

As a graduate engineer, Peter Denk formerly worked for well-known companies in the IT sector for over 20 years. Thanks to his scientific education, he is accustomed to carrying out unbiased analyzes and collecting data to gain an understanding of new processes. As he is in general approaching facts as unbiased as possible he early on noticed, that certain subjects are ignored completely or presented wrongly by mass media.

 

By reading many books, doing research, collecting own experiences and keeping in contact with extraordinary sources he became aware of a series of connections in politics, economics, financial systems, and spiritual knowledge, which led to his writing career. In 2008, he published his first book, and since 2009 has been writing for several websites about provisions for crises, timelines and current issues. He is publisher of one free and one paid newsletter, the free newsletter has over 8,000 subscribers. In 2015, his media-critical book "Lügenpresse" was published by the publishing house J-K-Fischer-Verlag. It states, that news on certain topics in mass media in Germany and most other Western countries tend to be very similarly reported and extremely biased.

 

During his research and investigations it became increasingly clear, that in Germany and worldwide we are heading for scenarios in which the usual infrastructure, at least temporarily, will no longer be available. Because of that he is now concentrating very much on the topic of crises prevention in all its facets: financial, physical and intangible.

Dr. Torsten Dennin
As deputy CIO of Tiberius Asset Management AG, Zug/ Switzerland Dr. Torsten Dennin is responsible for analyzing international commodity markets with a focus on energy. Furthermore, he covers natura ...
www.tiberiusgroup.com

As deputy CIO of Tiberius Asset Management AG, Zug/ Switzerland Dr. Torsten Dennin is responsible for analyzing international commodity markets with a focus on energy. Furthermore, he covers natural resources equities from the global sectors oil & gas, metals & mining, and agriculture. Prior to joining Tiberius in 2013, Dr. Dennin has been responsible for managing commodity funds as well as single accounts at Deutsche Bank, Frankfurt am Main (2003-2010).

 

Afterwards he managed a commodity fund and a natural resources equity fund at VCH Investments, Frankfurt am Main (2010-2013). Dr. Dennin holds a master equivalent degree in Economics from University of Cologne/ Germany, studied at Pennsylvania State University/ USA, and wrote his PhD-thesis on "Commodity Futures in Asset Management". He is author of two books, published numerous articles in industry journals, and appears regularly in Press & TV to commend on commodity markets.

Marc Friedrich
Marc Friedrich studied international business economics. During his studies he intensively focused on the economy and financial markets. After graduating he was confronted with the concepts ...
www.fw-vs.de

Marc Friedrich studied international business economics. During his studies he intensively focused on the economy and financial markets. After graduating he was confronted with the concepts of risk capital, capital investment and investment consulting while working for a Swiss venture capital company. He was able to gain a lot of valuable international work experience in Argentina, the UK, Switzerland, and the US. During a stay in Argentina, Friedrich observed a national bancruptcy in 2001 and its devastating consequences.

Florian Grummes
As owner of Midas Touch Consulting Florian Grummes is an independent analyst and consultant. Since 1996, he has been especially focused on financial markets and in 2002 began specializing in the pre ...
www.midastouch-consulting.com

As owner of Midas Touch Consulting Florian Grummes is an independent analyst and consultant. Since 1996, he has been especially focused on financial markets and in 2002 began specializing in the precious metals sector.

 

In addition to his gold and silver analyzes for the pro aurum KG, that are published every second week, he also publishes his reknowned international Midas Touch Report every other week, which includes updates on his gold model.

 

Grummes is a proven gold expert and advises numerous mining companies and investors. Grummes is very successful in reaching the exact conclusion in combining his analyses of the gold market, which are based on sentiment or fundamentals.

 

Here you may register for the free newsletter in English. 

 

Peter Haisenko
www.anderweltonline.com

Dr. Eike Hamer
Eike Hamer (born in 1975) passed his first A-Levels in Belfast, Northern Ireland, and later took his second in Hanover, Germany. After the basic military service he studied economics on the universiti ...
www.mittelstandsinstitut-niedersachsen.de

Eike Hamer (born in 1975) passed his first A-Levels in Belfast, Northern Ireland, and later took his second in Hanover, Germany. After the basic military service he studied economics on the universities of Bonn, Osnabrück and Rostock, where he graduated as Bachelor of Commerce (Diplom-Kaufmann) in 2002 and afterwards earned his doctorate. Eike Hamer is a member of the "Institute of Middle Class Niedersachsen" in Hanover since 1996. He wrote the bestselling book "Was passiert, wenn der Crash kommt? - Wie sichere ich mein Vermögen oder Unternehmen" ("What happens when the Crash comes? - How to secure my assets and establishments") in cooperation with his father, Prof. Dr. Eberhard Hamer. In the book, the authors describe the consequences of a fundamental crisis in areas such as economy, society, education and culture. The reader is introduced to possible strategies for members of middle class and for the structure of assets. Special focus is set on gold.

Folker Hellmeyer
Folker Hellmeyer started his career as foreign exchange trader with Deutsche Bank in Hamburg and London in 1984. Since 1995 the banking professional has been working with Helaba in Frankfurt and since ...
www.solvecon-invest.de

Folker Hellmeyer started his career as foreign exchange trader with Deutsche Bank in Hamburg and London in 1984. Since 1995 the banking professional has been working with Helaba in Frankfurt and since April 2002 he has been chief analyst with Bremer Landesbank. Furthermore, Folker Hellmeyer is a popular guest in TV shows and expert discussions on finance, for example at n-tv or Bloomberg TV.

Hannes Huster
Hannes Huster performed a training as bank clerk and got actively involved in the stock exchange in 1996. In addition to working as an investment advisor in the field of shares for nearly ten years, h ...
www.dergoldreport.de

Hannes Huster performed a training as bank clerk and got actively involved in the stock exchange in 1996. In addition to working as an investment advisor in the field of shares for nearly ten years, he studied banking with the focus on investment securities. In 2001, he was honoured by the Bavarian State Government ("Meisterpreis der Bayerischen Staatsregierung").

 

Hannes Huster is publisher and chief editor of the exchange service "Der Goldreport" (www.dergoldreport.de). This report, founded in 2003, analyses upcoming companies showing strong growth in the commodity sector. It reflects this investment strategy for different risk classes in respective model portfolios. Since May of this year, Huster is also chief editor of the report "Husters Goldanalyse", which is available at the publishing house Investor Verlag in Bonn.

Gunnar Kaiser
Gunnar Kaiser (born 1976) is an author and philosopher. His novel "Beneath the Skin" was published by the Berlin Verlag in 2018 and was translated into six languages. Furthermore, he runs the YouTube ...
www.gunnarkaiser.de

Gunnar Kaiser (born 1976) is an author and philosopher. His novel "Beneath the Skin" was published by the Berlin Verlag in 2018 and was translated into six languages. Furthermore, he runs the YouTube channel "KaiserTV" where he explains philosophical and social topics; he also teaches German and philosophy in Cologne.

Markus Koch
No other journalist knows the floor of the New York Stock Exchange as well as Markus Koch. For more than two decades, Koch has been reporting on the ups and downs of Wall Street for the news broadcast ...

No other journalist knows the floor of the New York Stock Exchange as well as Markus Koch. For more than two decades, Koch has been reporting on the ups and downs of Wall Street for the news broadcaster n-tv and the German newspaper Handelsblatt.

 

Because of the informative and entertaining nature of his business reporting he was nominated for the German Television Award in 1996, as well as for the German Photo Book Award a few years later. His production "Auf der Couch by Markus Koch" has been awarded the prestigious Friedrich and Isabel Vogel Prize for Business Journalism last year. In the US, Microsoft co-founder Paul Allen and director Morgan Spurlock brought him on board in the production of "We the Economy".

Gianni Kovacevic
Gianni Kovacevic is an expert on modern energy, natural resources and emerging markets. Drawing from over 20,000 hours of experience, he is a sought-after public speaker who uses colourful description ...
www.kovacevic.com

Gianni Kovacevic is an expert on modern energy, natural resources and emerging markets. Drawing from over 20,000 hours of experience, he is a sought-after public speaker who uses colourful descriptions and memorable stories to bring complicated modern themes to life. His recently published book was introduced to audiences around the world by way a one-of-a-kind coast to coast journey in an all-electricTesla - now credited as the world’s first zero emissions book tour. A self-proclaimed realistic environmentalist, he is a founding member of The CO2 Master Solutions Partnership and is frequently interviewed by the media. Fluent in English, German, Italian and Croatian, he makes his home in Vancouver.

Dr. Markus Krall
Dr. Markus Krall is managing director with the German consulting Firm goetzpartners, where he is head of the financial services practice. He has more than 25 years’ experience in the financial i ...
www.goetzpartners.com

Dr. Markus Krall is managing director with the German consulting Firm goetzpartners, where he is head of the financial services practice. He has more than 25 years’ experience in the financial industry from a consulting as well as from a line role perspective mainly with banking, primary insurance and reinsurance, and regulatory affairs.

 

As Chief Risk Officer and member of the executive board at Converium Reinsurance in Zürich, a global top 10 institution of its industry, he was part of the management team that successfully turned this company around.

 

Having started his career at Allianz AG Holding in Munich as a member of the executive board staff he focused on financial services and risk management advisory first at the Boston Consulting Group, later at Oliver, Wyman & Company as a Partner and Director and as a Senior Partner and head of the risk management practice at McKinsey & Company.

 

He has successfully lead a global portfolio of risk management and strategy assignments and projects covering banking and insurance in continental Europe, the UK, the US, Middle East, Asia and Australia. Among his clients were several of the global top 20 financial service providers, regulatory bodies, governments and supranational institutions.

 

Markus Krall is the author of the bestselling book “The Draghi-Crash” (an English edition is planned for Q4) and a regular columnist for several of Germanys leading print and online publications where he focuses on monetary policy and European affairs.

 

He holds a diploma and a doctorate in economics from Freiburg University and completed his postgraduate studies at the Imperial University in Nagoya, Japan (Meidai) with a doctoral thesis on Japanese capital markets.

Wilfried Kölz
Wilfried Kölz has done research on stock market cycles for approximately 20 years now. He writes articles and gives talks. In his market analyses and annual forecasts, Kölz concentrates ...

Wilfried Kölz has done research on stock market cycles for approximately 20 years now. He writes articles and gives talks. In his market analyses and annual forecasts, Kölz concentrates on prognoses about the arrival of trend reversals for precious metals, interests, currencies and stock indices.