Iraj Kani

Iraj Kani

Portfolio Manager-Fixed Income chez
Fiera Capital, Inc.
Finance
Consumer Services
Miscellaneous

Profil

Dr. Iraj Kani is Senior Vice President & Portfolio Manager at Fiera Capital, Inc. He will be involved in the development of new products by the modelling risk potential in various strategies.
He is a member of the Fixed Income Investment Committee and the Tactical Asset Allocation Committee.
He currently serves as an Adjunct Associate Professor of Financial Engineering in the Department of Industrial Engineering and Operations Research at Columbia University.
Prior to joining Fiera Capital in October 2015, Mr. Kani was a Principal, Quantitative Strategist and member of the Investment Committee at Samson Capital Advisors LLC.
He was the Vice President of Quantitative Strategies Group at Goldman Sachs from 1991 to 1998, where he was the senior modeler for the equity derivatives division.
Before joining Goldman Sachs, he was the member of quantitative modeling in the Fixed Income Derivatives Trading group at Bankers Trust.
He received his PhD in theoretical particle physics from the University of Oxford, his MS in particle physics from the University of Michigan, his MS degree in mathematics and his B.S.
degrees in both mathematics and physics from the University of Minnesota.

Postes actifs de Iraj Kani

SociétésPosteDébut
Portfolio Manager-Fixed Income 30/10/2015

Anciens postes connus de Iraj Kani

SociétésPosteFin
Corporate Officer/Principal 31/12/1997
Corporate Officer/Principal -
Membre du Comité d'Investissement -
Voir l'expérience en détail de Iraj Kani

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Consumer Services

Finance

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