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 of the Multi-Asset Strategy and is responsible for developing investment and risk management tools for products managed by the Global Multi-Asset team. Mr. Hu also Co-Chairs the Global Derivatives Committee to ensure adequate risk management associated with derivatives investments within the firm. Prior to his current role, Mr. Hu was an Analyst within the Quantitative Portfolio Management Group and moved to the Global Multi-Asset team in 2009. Prior to joining the firm, Mr. Hu worked as a Derivative Pricing Analyst at International Funds Services where he was responsible for the derivative pricing process and developed pricing tools for various derivatives instruments. Mr. Hu received a Master's of Engineering in Financial Engineering from Cornell University and a Master's of Operations Research and Bachelor of Technology in Industrial Mathematics from the University of Auckland, New Zealand. He also is a CFA charterholder and a Certified FRM holder.

Top