
Fixed income and portfolio analytics professional
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Fixed income and portfolio analytics professional with 5+ years of experience supporting U.S. and Global Credit investment strategies across Investment Grade, High Yield, Fallen Angel, and Emerging Market debt. Experienced in portfolio construction, factor and signal research, corporate action analysis, performance attribution, and risk analytics, with direct involvement in portfolio management, investment research, and portfolio construction activities supporting credit strategies ranging from dedicated beta portfolios exceeding $10B AUM to broader U.S. and Global Credit mandates. Proven track record of developing quantitative investment frameworks, evaluating event-driven opportunities, and delivering actionable insights to Portfolio Managers through data-driven research and portfolio analytics.
Strong technical expertise in Python, SQL, Power BI, Bloomberg, and AI-enabled investment workflows.
Specialist (Portfolio Analytics & Investment Research) - BNY - Pune, India
(2023-10)
Sr. Quantitative Analyst - Arya Risk Management Systems Pvt. Ltd. - Pune, India
(2021-06 - 2023-09)
ERM Executive - Future Generali India Life Insurance - Mumbai, India
(2020-12 - 2021-05)
MSc - Investment & Financial Risk Management - Kingston University (2019)
BSc - Computer Application - Bharati Vidyapeeth University (2017)