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Rajiv Sachdeva Location
Pasadena, CA, US
Rajiv Sachdeva Work
Head of Portfolio and Quantitative Analysis @ (August 2009 - Present)
Head Of Portfolio and Quantitative Analysis @ (January 2008 - January 2009)
Partner, Head of Risk Management and Information Technology @ (January 2002 - January 2008)
Head of Risk Management, Europe @ (January 2002 - January 2002)
Portfolio Manager and Head of Fixed Income Risk Management @ (January 1996 - January 2001)
Risk Analyst, Global Derivatives Trading @ (January 1994 - January 1996)
Rajiv Sachdeva Education
Imperial College London
PhD (Experimental Particle Physics)
1990-1994
University Of Newcatle Upon Tyne
Bachelor of Medicine, Bachelor of Surgery - MBBS
1983-1988
Rajiv Sachdeva Skills
Hedge Funds
Fixed Income
Equities
Derivatives
Asset Managment
Investments
Investment Management
Portfolio Management
Credit Derivatives
Market Risk
FX Options
Structured Products
Risk Management
Asset Management
Alternative Investments
Capital Markets
Bloomberg
Quantitative Finance
Quantitative Risk
Financial Markets
Customer Service
Financial Modeling
Analysis
Quantitative Analytics
Leadership
Asset Allocation
Financial Analysis
Bonds
Financial Risk
Rajiv Sachdeva Summary
Rajiv Sachdeva, based in Pasadena, CA, US, is currently a Head of Portfolio and Quantitative Analysis at Western Asset Management. Rajiv Sachdeva brings experience from previous roles at Western Asset Management, Dalton Strategic Partnership and MERRILL LYNCH GLOBAL ASSET MANAGEMENT LIMITED. Rajiv Sachdeva holds a 1990 - 1994 PhD in Experimental Particle Physics @ Imperial College London. With a robust skill set that includes Hedge Funds, Fixed Income, Equities, Derivatives, Asset Managment and more. Rajiv Sachdeva has 3 emails and 1 mobile phone numbers on RocketReach.
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