Profil
Dr. Georgi Y.
Georgiev is a Research Analyst at SSARIS Advisors LLC.
He graduated from University of Massachusetts at Amherst-Isenberg School of Management in 2007.
Anciens postes connus de Georgi Y. Georgiev
| Sociétés | Poste | Fin |
|---|---|---|
SSARIS Advisors LLC
SSARIS Advisors LLC Investment ManagersFinance SSARIS Advisors is a manager of absolute return hedge fund strategies and hedge fund of funds strategies, for qualified investors. The firm manages proprietary single manager trading strategies and multi-manager trading strategies including equity, relative value, global macro and commodity-based programs. SSARIS belives that both convergent strategies focusing on overvalued/undervalued situations that seek to perform well in periods of stable or declining volatility, and divergent strategies seek to perform well during periods of rising volatility should be included in portfolios. When formulating investment advice and managing the assets of the SSARIS Funds and the managed accounts, they perform both quantitative and qualitative analyses prior to making investment decisions. SSARIS' single strategy investment products include: Multi-Strategy Program; Diversified Trading Program; Active Commodity Strategy; Multi-Strategy Participating Note Strategy; Short Term Momentum Strategy; and Breakout Program. Their Multi-Manager strategies include: Multi-Manager Absolute Return Strategy; Multi-Manager Relative Value Strategy; Multi-Manager Participating Note Strategy; Multi-Manager Global Long/Short Equity Strategy; Multi-Manager Global Macro and CTA Strategy; and SSARIS Equity Plus (SSARIS Portable Alpha Strategy). | Analyst-Equity | - |
Formation de Georgi Y. Georgiev
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Entreprise privées
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Relations au 1er degré
Entreprises liées au 1er degré
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Sociétés liées
| Entreprise privées | 2 |
|---|---|
SSARIS Advisors LLC
SSARIS Advisors LLC Investment ManagersFinance SSARIS Advisors is a manager of absolute return hedge fund strategies and hedge fund of funds strategies, for qualified investors. The firm manages proprietary single manager trading strategies and multi-manager trading strategies including equity, relative value, global macro and commodity-based programs. SSARIS belives that both convergent strategies focusing on overvalued/undervalued situations that seek to perform well in periods of stable or declining volatility, and divergent strategies seek to perform well during periods of rising volatility should be included in portfolios. When formulating investment advice and managing the assets of the SSARIS Funds and the managed accounts, they perform both quantitative and qualitative analyses prior to making investment decisions. SSARIS' single strategy investment products include: Multi-Strategy Program; Diversified Trading Program; Active Commodity Strategy; Multi-Strategy Participating Note Strategy; Short Term Momentum Strategy; and Breakout Program. Their Multi-Manager strategies include: Multi-Manager Absolute Return Strategy; Multi-Manager Relative Value Strategy; Multi-Manager Participating Note Strategy; Multi-Manager Global Long/Short Equity Strategy; Multi-Manager Global Macro and CTA Strategy; and SSARIS Equity Plus (SSARIS Portable Alpha Strategy). | Finance |
University of Massachusetts
University of Massachusetts Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
















