Previously, Alex was Senior Vice President and Director of
Global Equity Index Management at Northern Trust Global Investments (NTGI).
Not exact matches
Morningstar Investment Conference MarketCounsel Summit The Evidence - Based Investing Conference Inside ETFs IMN
Global Indexing and ETF Conference Harvard University Columbia University University of North Carolina G.A.M.E. Forum (Quinnipiac University) Stocktoberfest ETF Bootcamp Tiburon CEO Summit The Big Picture Conference Citywire Berlin Conference New York Society of Securities Analysts (NYSSA) The CFA Society of Chicago Thomson Reuters Online Financial Services Symposium Bloomberg News HQ The World Resource Investment Conference Agriculture 2.0 Conference ETF.com
Global Macro Conference NYU Lindzonpalooza Financial Planners Association of Philadelphia / Tri-State CB Insights Future of Fintech CFA Institute: National Wealth
Management Conference Bloomberg
Equity Forum Twitter New York City HQ Colorado Financial Planners Association Canadian Investor Relations Institute Securities Traders Association of New York (STANY) MarketWatch: Defend Yourself TD Ameritrade National LINC Advisors Conference
Prior to that, he served as head of quantitative
equity for ING Investment
Management, (doing business as Voya Investment
Management May 1, 2014), building and developing the group and managing more than $ 20 billion in assets with 15
global active,
index and enhanced
index strategies for pension funds, variable annuities and mutual funds.
Previous to his time at BlackRock, Alan spent 8 years at Citigroup as a Senior Delta One trader, responsible for the pricing, execution and risk
management of a
Global macro
equity index book for the full range of delta one products.
Investors can add a second layer of risk
management by including asset classes in their portfolios that fall outside (or represent tiny components of) traditional
global equity and bond
indexes.
Previous to his time at BlackRock, Alan spent 8 years at Citigroup as a Senior Delta One trader, responsible for the pricing, execution and risk
management of a
Global macro
equity index book for the full range of delta one products.
The company's flagship product offerings are: the MSCI
indices which include over 148,000 daily
indices covering more than 70 countries; Barra portfolio risk and performance analytics covering
global equity and fixed income markets; RiskMetrics market and credit risk analytics; ISS governance research and outsourced proxy voting and reporting services; FEA valuation models and risk
management software for the energy and commodities markets; and CFRA forensic accounting risk research, legal / regulatory risk assessment, and due - diligence.