Mikhail Johaadien

Research Analyst, Global Multi-Asset
Research Analyst, Global Multi-Asset

Mr. Johaadien joined the firm in 2016 and is responsible for the Global Multi-Asset Team’s investment research and strategy capabilities, focusing on further augmenting our focus on the Capital Market Line and coverage of existing and new asset classes. Prior to joining the firm, Mr. Johaadien was a multi-asset investment analyst at Aviva Investors where he was a primary source for fundamental investment and economic analysis used to inform the asset allocation process, as well as a strategic and quantitative asset allocation analyst. He holds a BA/BS in econometrics, financial mathematics and time series analysis from the University of York.

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