Profil
Mayoor Joshi is currently Executive Director & Portfolio Manager at UBS Asset Management (Americas) LLC since 2024.
Formerly, Mr. Joshi was Managing Director at Rocaton Investment Advisors LLC.
Mr. Joshi completed an undergraduate degree at The Pennsylvania State University in 2000.
Postes actifs de Mayoor Joshi
| Sociétés | Poste | Début |
|---|---|---|
UBS Asset Management (Americas) LLC
UBS Asset Management (Americas) LLC Investment ManagersFinance UBS AM offers Equities, Fixed Income, Indexing, and Investment Solutions businesses. The firm provides active investment strategies to their clients and principally employs fundamental analysis in managing client accounts by attempting to identify discrepancies between current market prices and their estimate of fundamental value. | Directeur de la Recherche - Actions | 01/01/2020 |
Anciens postes connus de Mayoor Joshi
| Sociétés | Poste | Fin |
|---|---|---|
Rocaton Investment Advisors LLC
Rocaton Investment Advisors LLC Investment ManagersFinance Rocaton develops its asset allocation recommendations through the use of proprietary risk, return and correlation assumptions to assess the expected risk and expected return of different asset mixes over a variety of market environments. Specifically, the firm often utilizes a Monte Carlo portfolio optimization process to forecast risk and return inputs over different scenarios. Recommended allocations are generally based on forecasted risk and forecasted return characteristics, including expected volatility and correlation of returns, liquidity and transaction costs, as well as on client objectives. | Corporate Officer/Principal | - |
Formation de Mayoor Joshi
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Sociétés liées
| Entreprise privées | 4 |
|---|---|
UBS Asset Management (Americas) LLC
UBS Asset Management (Americas) LLC Investment ManagersFinance UBS AM offers Equities, Fixed Income, Indexing, and Investment Solutions businesses. The firm provides active investment strategies to their clients and principally employs fundamental analysis in managing client accounts by attempting to identify discrepancies between current market prices and their estimate of fundamental value. | Finance |
Georgia Institute of Technology
Georgia Institute of Technology Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
The Pennsylvania State University
The Pennsylvania State University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Rocaton Investment Advisors LLC
Rocaton Investment Advisors LLC Investment ManagersFinance Rocaton develops its asset allocation recommendations through the use of proprietary risk, return and correlation assumptions to assess the expected risk and expected return of different asset mixes over a variety of market environments. Specifically, the firm often utilizes a Monte Carlo portfolio optimization process to forecast risk and return inputs over different scenarios. Recommended allocations are generally based on forecasted risk and forecasted return characteristics, including expected volatility and correlation of returns, liquidity and transaction costs, as well as on client objectives. | Finance |
















