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Arvind Rajan
Senior Advisor, Investor, and Industry Leader in Finance and Asset Management
Arvind Rajan is an accomplished financial market expert with an impressive background in various asset classes, including emerging markets, global bonds, and structured credit, among others. With extensive experience in fixed income investments, macro analysis, proprietary trading, quantitative research, and risk management, he has gained a reputation as a veteran in the industry.
Arvind Rajan's educational background includes an MS and Ph.D. in Operations Research from Northwestern University and a BTech in Mechanical Engineering from Indian Institute of Technology, Madras. He also studied in Gill Nagar Madras and Harni, Baroda at Kendriya Vidyalaya.
Arvind Rajan's professional experience is quite broad. He has been Senior Advisor for several organizations, including PGIM Fixed Income, the Vice Chairman of the Advisory Board at Basis Point Global, and an Adjunct Professor at New York University. He has also held significant positions such as Managing Director and International Chief Investment Officer at PGIM Fixed Income and Managing Director, Co-Head Fixed Income Strategy, Head Struct. Credit, Head Emerging Markets Strategy at Citi.
Arvind's skills in applying quantitative methods, AI/ML, and data science to asset management make him a highly sought after professional in his field. His expertise is diverse and includes modeling and fixed income investment, making him one of the leading authorities in the industry.
Overall, Arvind Rajan's career has been nothing short of impressive. His educational background, coupled with his extensive professional experience, has made him a highly respected expert in financial markets, an industry where he has become a household name.