Ash Shetty, CFA

Portfolio Manager and Risk Strategist, Developed Markets Fixed Income
New York
Portfolio Manager and Risk Strategist, Developed Markets Fixed Income

Mr. Shetty joined the firm in 2019 and is a Senior Vice President, Portfolio Manager and Risk Strategist on the Developed Markets Investment Grade Fixed Income team. He is responsible for designing and driving the investment team’s sustainability agenda by providing subject matter expertise, guiding the day-to-day portfolio-level investment decisions involving ESG dimensions, and aligning the team’s traditional portfolio strategy and investment risk processes. He is also responsible for providing ongoing support for client services and business development efforts for the team. Prior to joining the firm, Mr. Shetty was a Fixed Income Strategist at Nomura Securities, where he contributed to investment themes and trade ideas for Nomura’s fixed income publications. Prior to that, he was a Relationship Manager at Citigroup Global Markets, where he was responsible for validating and producing analytics, indices, and prepayment models for Yield Book, a fixed income analytics platform. Mr. Shetty received a B. Tech from the National Institute of Technology (NIT) in India and an MBA in Finance from the State University of New York at Buffalo. He holds FINRA Series 7 and 63 licenses and a Project Management Professional (PMP) certification. He is a CFA charterholder.

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