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Sergei Parmenov
28 years of investment experience; 20 years of global macro investing experience in institutional and entrepreneurial settings. Previously senior PM in Morgan Stanley Inv. Management; PM/ founder at macro hedge funds
Sergei Parmenov is a seasoned investment professional currently serving as a Portfolio Manager in the Global Asset Allocation team at Morgan Stanley Investment Management. He re-joined the firm in August 2011, having previously worked there earlier in his career starting in 1996. Over the years, he has accumulated 23 years of experience in the investment sector.12
Career Highlights
- Current Role: Portfolio Manager, Global Multi-Asset Team at Morgan Stanley Investment Management since 2011.
- Previous Experience:
- Founder and Chief Investment Officer at Lyncean Capital Management, a macro hedge fund, from 2008 to 2010.
- Portfolio Manager and Analyst at Traxis Partners, a multi-strategy hedge fund, from 2003 to 2008.
- Analyst at J. Rothschild Capital Management (2002-2003) and Vice President at Deutsche Bank (1999-2001).
Education
Parmenov holds a B.A. in Economics from Columbia University, which has provided a strong foundation for his extensive career in finance and investment management.123
Current Focus
At Morgan Stanley, Parmenov is part of a team that employs a top-down macroeconomic approach to manage investments across various asset classes, including equities, bonds, currencies, and commodities. The team is dedicated to generating returns while managing risks in volatile market environments.3
His expertise in macro investing positions him as a significant contributor to Morgan Stanley's investment strategies aimed at navigating complex financial landscapes.