Peter Hu, CFA, FRM

Portfolio Manager, Global Multi-Asset
New York
Portfolio Manager, Global Multi-Asset

Mr. Hu joined the firm in 2006 and is a Portfolio Manager for the Multi-Asset Strategy. He leads the implementation function, ensuring investment convictions are effectively expressed across all Global Multi-Asset team-managed products, in alignment with risk-return objectives and constraints. Previously, Mr. Hu was an Analyst in the Quantitative Portfolio Management Group before transitioning to the Global Multi-Asset team in 2009. Prior to joining the firm, he worked as a Derivative Pricing Analyst at International Fund Services, where he oversaw the derivative pricing process and developed pricing tools for a variety of derivative instruments. Mr. Hu holds a Master of Engineering in Financial Engineering from Cornell University, as well as a Master of Operations Research and a Bachelor of Technology in Industrial Mathematics from the University of Auckland, New Zealand. He is a CFA charterholder and a Certified FRM holder.

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