Profil
Mr. Rajeev Mittal is a Chief Executive Officer at Eastspring Investments Services Pte Ltd. He is also a member of the Prudential Group Executive Committee (GEC).
He chairs the Executive Management Committee and has overall responsibility for the management and strategic development of the firm.
He brings over 30 years of asset management experience.
Mr. Mittal joined the firm in July 2025 from Fidelity International, where he served as Managing Director and Head of Asia spearheading growth in Asia Pacific & Middle East (excluding Japan) markets.
Prior to Fidelity, he spent 26 years at AIG and PineBridge Investments, initially as an investor before serving as CEO of PineBridge Europe from 2009 to 2011, and later CEO of PineBridge Asia Pacific from 2011 to 2018.
He holds a Bachelor of Science degree in Mathematics and Statistics from the University of Bradford, UK.
Postes actifs de Rajeev Mittal
| Sociétés | Poste | Début |
|---|---|---|
Eastspring Investments Services Pte Ltd.
Eastspring Investments Services Pte Ltd. Investment ManagersFinance Provides investment advice | Directeur Général | 01/07/2025 |
Anciens postes connus de Rajeev Mittal
| Sociétés | Poste | Fin |
|---|---|---|
FIL Investment Management (Hong Kong) Ltd.
FIL Investment Management (Hong Kong) Ltd. Investment ManagersFinance FIL-HK employs an active, bottom-up, fundamental research-based investment approach which aims to uncover mispricing to add value to investments. Their analysts undertake extensive first-hand company research. They give portfolio managers discretion in their choice of management style. The portfolio managers meet with peers and senior members of the investment team to review performance and chart strategies for stock selection. The firm shares a proprietary global communications network with Fidelity Management, enabling their portfolio managers, research analysts and traders around the world to instantly distribute the latest corporate developments and research findings to each other and to their Fidelity Management counterparts. | Directeur Général | 01/11/2024 |
PineBridge Investments Asia Ltd.
PineBridge Investments Asia Ltd. Investment ManagersFinance PineBridge Investments Asia is an active, research-based manager which follows an income and value investment style, investing globally in equity and debt across market-caps and sectors. They perform fundamental and quantitative research to identify large-scale societal, demographic, and economic cycles that impact near-term valuations. The firm invests primarily in large- and giant-cap Asian equity including emerging markets. PineBridge Investments Asia selects securities on a long-term basis, utilizing bottom-up and top-down approaches. | Directeur Général | 14/12/2018 |
PineBridge Investments Europe Ltd.
PineBridge Investments Europe Ltd. Investment ManagersFinance PineBridge-UK focuses on active, high-conviction investing. The firm performs fundamental research complemented with quantitative analysis. They utilize a combination of bottom-up and top-down investment processes to invest across asset classes and across stages of development in the case of equity, favoring a buy-and-hold strategy which targets attractively priced stocks showing fundamentals improvement. Their investment process starts with quantitative screening, then relies on qualitative analysis which emphasizes relative valuation and fundamentals progression. | Director of Investments | 01/01/2011 |
AIG Global Investment Corp.
AIG Global Investment Corp. Investment ManagersFinance AIG Global Investment Corp. invests globally in the public equity and fixed-income markets. They also invest in real estate and private equity. The firm's equity investment approach typically focuses on the growth and value stocks of small-cap, mid-cap and large-cap companies. Their fixed-income investments typically include investment grade bonds, government securities, municipal bonds, corporate bonds and security-backed fixed-income securities. The firm employs a combination of top-down fundamental research and quantitative analysis to select sectors and a security selection bottom-up process. AIGG's real estate investment approach utilizes an opportunistic, value-oriented strategy. In general, AIGG tends to invest globally in the stocks of mid-cap and large-cap companies in the finance, electronic technology, energy minerals, health technology and consumer non-durables sectors. The firm maintains a medium turnover rate. AIGG's equity investment process begins with a quantitative screening of the investment universe. They categorize each stock in the universe into the following broad growth categories: exceptional growth, established stable growth, cyclical growth and mature companies. After categorizing each stock, they conduct bottom-up fundamental analysis to rank and select securities. Their fundamental analysis for all categories is based on relative valuations and fundamental progression, which may differ based on the stage of a company's lifecycle. Investment ideas are generated from internal research analysis, extensive company visits and analysis of outside research. Local portfolio managers and analysts are responsible for ranking stocks and portfolio construction. AIGG's researchers utilize an Intranet-based knowledge-sharing tool that enables them to disseminate detailed research to all equity investment professionals involved in the decision-making process. Regional/sector analysts apply specific buy and sell criteria to companies within each of the four growth categories, adapting the analytical approach and the valuation metrics to the varying growth dynamics for each group of companies. Overall, AIGG's global equity team focuses on the potential of delivering growth in earnings per share. They analyze factors that contribute to the sustainability of growth, such as barriers to entry and profitability. In the search for these characteristics, they research companies growing through innovative products and services, as well as companies growing by gaining in relevance in mature markets. AIGG's global fixed-income team believes that the most efficient (risk-adjusted) method to add value to a global fixed-income portfolio is through duration management and country allocation while maintaining currency exposure relative to the benchmark close to neutral. They apply quantitative techniques to establish duration positions and country weights, which can be adjusted using qualitative inputs. Quantitative analysis focuses on capturing market trends to generate excess returns. AIGG uses a portfolio construction process with automatic monthly rebalancing of portfolios. The analytical and quantitative formulation of market views are kept separate from portfolio construction. Once the views have been established, model portfolios are automatically created. Actual portfolios are mapped as close as possible to the appropriate model portfolio. | Portfolio Manager-Fixed Income | 31/12/2006 |
SunAmerica Asset Management LLC
SunAmerica Asset Management LLC Investment ManagersFinance SAAMCo seeks to achieve long-term total return by investing in a combination of commodity-linked derivative instruments, including commodity futures, swaps, options and options on futures. These investments provide exposure to the return of real assets that trade in the commodities markets without direct investment in physical commodities. Real assets include industrial and precious metals, gas, oil, livestock, agricultural or meat products, among others. | Gestionnaire de Portefeuille-Actions | - |
Formation de Rajeev Mittal
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
Relations
Relations au 1er degré
Entreprises liées au 1er degré
Homme
Femme
Administrateurs
Exécutifs
Sociétés liées
| Entreprise privées | 7 |
|---|---|
SunAmerica Asset Management LLC
SunAmerica Asset Management LLC Investment ManagersFinance SAAMCo seeks to achieve long-term total return by investing in a combination of commodity-linked derivative instruments, including commodity futures, swaps, options and options on futures. These investments provide exposure to the return of real assets that trade in the commodities markets without direct investment in physical commodities. Real assets include industrial and precious metals, gas, oil, livestock, agricultural or meat products, among others. | Finance |
AIG Global Investment Corp.
AIG Global Investment Corp. Investment ManagersFinance AIG Global Investment Corp. invests globally in the public equity and fixed-income markets. They also invest in real estate and private equity. The firm's equity investment approach typically focuses on the growth and value stocks of small-cap, mid-cap and large-cap companies. Their fixed-income investments typically include investment grade bonds, government securities, municipal bonds, corporate bonds and security-backed fixed-income securities. The firm employs a combination of top-down fundamental research and quantitative analysis to select sectors and a security selection bottom-up process. AIGG's real estate investment approach utilizes an opportunistic, value-oriented strategy. In general, AIGG tends to invest globally in the stocks of mid-cap and large-cap companies in the finance, electronic technology, energy minerals, health technology and consumer non-durables sectors. The firm maintains a medium turnover rate. AIGG's equity investment process begins with a quantitative screening of the investment universe. They categorize each stock in the universe into the following broad growth categories: exceptional growth, established stable growth, cyclical growth and mature companies. After categorizing each stock, they conduct bottom-up fundamental analysis to rank and select securities. Their fundamental analysis for all categories is based on relative valuations and fundamental progression, which may differ based on the stage of a company's lifecycle. Investment ideas are generated from internal research analysis, extensive company visits and analysis of outside research. Local portfolio managers and analysts are responsible for ranking stocks and portfolio construction. AIGG's researchers utilize an Intranet-based knowledge-sharing tool that enables them to disseminate detailed research to all equity investment professionals involved in the decision-making process. Regional/sector analysts apply specific buy and sell criteria to companies within each of the four growth categories, adapting the analytical approach and the valuation metrics to the varying growth dynamics for each group of companies. Overall, AIGG's global equity team focuses on the potential of delivering growth in earnings per share. They analyze factors that contribute to the sustainability of growth, such as barriers to entry and profitability. In the search for these characteristics, they research companies growing through innovative products and services, as well as companies growing by gaining in relevance in mature markets. AIGG's global fixed-income team believes that the most efficient (risk-adjusted) method to add value to a global fixed-income portfolio is through duration management and country allocation while maintaining currency exposure relative to the benchmark close to neutral. They apply quantitative techniques to establish duration positions and country weights, which can be adjusted using qualitative inputs. Quantitative analysis focuses on capturing market trends to generate excess returns. AIGG uses a portfolio construction process with automatic monthly rebalancing of portfolios. The analytical and quantitative formulation of market views are kept separate from portfolio construction. Once the views have been established, model portfolios are automatically created. Actual portfolios are mapped as close as possible to the appropriate model portfolio. | Finance |
University of Bradford
University of Bradford Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
FIL Investment Management (Hong Kong) Ltd.
FIL Investment Management (Hong Kong) Ltd. Investment ManagersFinance FIL-HK employs an active, bottom-up, fundamental research-based investment approach which aims to uncover mispricing to add value to investments. Their analysts undertake extensive first-hand company research. They give portfolio managers discretion in their choice of management style. The portfolio managers meet with peers and senior members of the investment team to review performance and chart strategies for stock selection. The firm shares a proprietary global communications network with Fidelity Management, enabling their portfolio managers, research analysts and traders around the world to instantly distribute the latest corporate developments and research findings to each other and to their Fidelity Management counterparts. | Finance |
PineBridge Investments Europe Ltd.
PineBridge Investments Europe Ltd. Investment ManagersFinance PineBridge-UK focuses on active, high-conviction investing. The firm performs fundamental research complemented with quantitative analysis. They utilize a combination of bottom-up and top-down investment processes to invest across asset classes and across stages of development in the case of equity, favoring a buy-and-hold strategy which targets attractively priced stocks showing fundamentals improvement. Their investment process starts with quantitative screening, then relies on qualitative analysis which emphasizes relative valuation and fundamentals progression. | Finance |
PineBridge Investments Asia Ltd.
PineBridge Investments Asia Ltd. Investment ManagersFinance PineBridge Investments Asia is an active, research-based manager which follows an income and value investment style, investing globally in equity and debt across market-caps and sectors. They perform fundamental and quantitative research to identify large-scale societal, demographic, and economic cycles that impact near-term valuations. The firm invests primarily in large- and giant-cap Asian equity including emerging markets. PineBridge Investments Asia selects securities on a long-term basis, utilizing bottom-up and top-down approaches. | Finance |
Eastspring Investments Services Pte Ltd.
Eastspring Investments Services Pte Ltd. Investment ManagersFinance Provides investment advice | Finance |
















