Multi Asset Class and Manager Research
Commonfund is one of north america's most prominent institutional investment management firms focused on nonprofit investors.
Investment Strategist and Client Portfolio Manager with a passion for developing strategic and tactical multi asset investment portfolios tailored to meet clients’ return and risk objectives. Leads production and delivery of quantitative macroeconomic research using statistical and optimization methods, regression analysis, factor modeling, time series and holdings-based analysis across active and passive strategies within a wide spectrum of asset classes. Communicates innovative solutions and investment ideas through engaging presentations while building a practical knowledge of statistical programming languages.