BCF INVEST · BORIS CHOVNIK FINANCIALS

Investment Expertise
at the Intersection of
VC, Public Markets & Derivatives

Boris Chovnik brings institutional-grade investment expertise across venture capital, global macro, public equities and derivatives, with a focus on early-stage technology companies in Israel, CEE, and the US.

Available for Advisory
BCF

Boris Chovnik

Senior Investment Advisor

VC & Startups
Global Macro
Derivatives
Israel · CEE · US
20+

Years

3

Regions

50+

Deals

ISRAEL · CEE · US
Boris Chovnik

Boris Chovnik

Investor · Advisor · Analyst

Israel CEE US VC Macro

Israel · CEE · US

20+ Years Investing

AI · Cyber · Cloud

Derivatives Expertise

Boris Chovnik

Boris Chovnik is an investment professional with 20+ years of institutional-grade experience across Venture Capital, Global Macro, Public Equities, and Derivatives.

His work combines early-stage technology investing with a macro-driven understanding of capital flows, risk, and market structure, with a particular focus on AI, cybersecurity, cloud infrastructure, Israel, CEE, and the US.

20+ Years Experience
50+ Deals Reviewed / Closed
3 Core Regions

Advisory Services

Institutional-grade investment expertise made accessible to founders, funds, family offices, and investors seeking an unfair edge.

VC & Startup Advisory

Pre-seed to Series B dealflow sourcing, due diligence, valuation modeling, and portfolio strategy for early-stage technology startups.

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Pre-seed to Series B Due Diligence Valuation Modeling Portfolio Strategy Israel · CEE · US

Global Macro

Top-down macroeconomic analysis covering interest rates, currency dynamics, geopolitical risk, and cross-asset allocation.

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Rate Cycle Analysis FX Strategy Geopolitical Risk Cross-Asset Allocation EM & DM Markets

Public Equities

Fundamental and quantitative equity research with a focus on technology, growth sectors, long/short portfolios, and sector rotation.

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Fundamental Research Long/Short Portfolio Sector Rotation Technology Focus Quant Overlay

Derivatives & Options

Advanced options and futures strategy for portfolio hedging, income generation, directional exposure, and risk-adjusted returns.

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Options Strategies Volatility Structures Futures Positioning Portfolio Hedging Risk-Adjusted Returns