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Detailed risk analysis is used to design a portfolio of shares which provides the greatest likelihood of matching the performance of the S&P/ASX 300 Accumulation Index. All shares in this option are maintained within a very close margin to their weight in the Index. The option predominantly invests in Australian companies and therefore does not hedge currency risk.
Name | Title | Since | Until |
---|---|---|---|
Joanna Nash | Portfolio Manager | 2020 | Now |
Biography | Joanna has 16 years’ quantitative investment experience including senior roles at Acadian, where she was a senior portfolio manager, and Blackrock, where she was a portfolio manager within scientific equities, ran index portfolios and was Head of Sustainable Investment in Australia. Joanna is also a Lecturer at New York University. Joanna holds a CFA accreditation, has a PhD in Economics from Yale University, and was awarded a Fulbright scholarship. She has a Bachelor of Laws and Economics (Honours) from the University of New South Wales. | ||
Ron Guido | - | 2020 | Now |
Biography | Ron has 19 years’ asset management experience. Prior to joining Realindex, Ron held various roles including the Head of Research at RF Capital, Portfolio Manager, Systematic Active Equities at BlackRock, Chief Investment Officer at Callisto Asset Management and Senior Quantitative Research roles at Marshall Wace, Fidelity International and SSgA. Prior to his career in asset management, Ron held a faculty position at UNSW where he lectured in quantitative finance. Ron holds a PhD in Finance and Statistics from the Australian Graduate School of Management, and has completed a Bachelor of Economics (Hons) at the University of Sydney. | ||
David Walsh | - | 2019 | Now |
Biography | •Head of Acadian Australia’s investment team. Responsible for Acadian investment process including research, portfolio construction and trading. •a member of Acadian LLC’s Investment Policy Committee •formerly with Baseline Capital, quantitative investment management consulting firm which he founded. •previously Managing Director and Senior Portfolio Manager for Australian Equity Quantitative Team at BGI/BlackRock and Head of Equities Research, Australia for State Street Global Advisors •B.Eng, MBus, PhD (Finance) | ||
Wang Chun Wei | - | 2019 | Now |
Biography | Wang Chun has 14 years’ experience in financial services. Prior to joining Realindex, Wang Chun has worked as a quantitative analyst at Macquarie Group and Regal Funds Management, and as a senior investment analyst at AustralianSuper. He has also worked as a lecturer in finance at the University of Queensland Business School. Wang Chun holds a Bachelor of Commerce (Honours) in Actuarial Studies from the University of Melbourne, a PhD in Finance at the University of Sydney and has completed a Masters in Computer Science at the University of Illinois at Urbana-Champaign. He is a CFA charter holder since 2017. |
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