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Pavel Bandarchuk Cfa Frm
Pavel Bandarchuk Cfa Frm
Portfolio Manager, Research, Vice President | Acadian Asset Management
Boston, Massachusetts, United States
Pavel Bandarchuk Cfa Frm
Summary
Pavel Bandarchuk is a seasoned investment professional and quantitative researcher currently serving as Vice President at Acadian Asset Management in Boston. With a robust background in asset management, he specializes in developing sophisticated investment strategies and models that enhance portfolio performance while managing risk. Pavel's academic credentials include a Ph.D. in International Economics and Finance, which underpins his analytical prowess in quantitative finance. His work experience spans prestigious firms such as State Street Global Advisors and Goldman Sachs, where he led teams and contributed to significant advancements in tactical asset allocation and risk management practices. Pavel is also a published author in finance, exploring topics like momentum profits and risk appetite modeling. His advanced analytical skills, particularly in MATLAB programming, complement his deep understanding of global equity markets and portfolio optimization. He is passionate about leveraging quantitative research to drive investment decisions and improve financial outcomes.
Pavel Bandarchuk Cfa Frm
Work Experience
Portfolio Manager, Research, Vice President at
Acadian Asset Management
September 2018 - Present
Senior Quantitative Researcher, Head of Alpha Research, Vice President at
State Street Global Advisors
August 2014 - September 2018
Senior Quantitative Researcher, Associate Portfolio Manager, Vice President at
Acadian Asset Management
April 2012 - August 2014
Senior Quantitative Research Analyst, Vice President at
State Street
January 2007 - April 2012
GSAM IMD Summer Associate, Risk and Performance Analytics Group at
Goldman Sachs
June 2006 - August 2006
Pavel Bandarchuk Cfa Frm
Education
BRANDEIS UNIVERSITY, International Business School, Doctor Of Philosophy (Ph.D.)
January 2003 - January 2008
Belarusian State University, Minsk, Belarus , Diploma With Honors
January 1998 - January 2003
International School of Business and Management of Technology, Minsk, Belarus, Certificate
January 2002 - January 2003
Frequently Asked Questions about Pavel Bandarchuk Cfa Frm
What is Pavel Bandarchuk Cfa Frm email address?
Pavel Bandarchuk Cfa Frm's primary email address is ***********@acadian-asset.com. To view the full verified email and additional contact details, sign up for free with Muraena.
What company does Pavel Bandarchuk Cfa Frm work for?
Pavel Bandarchuk Cfa Frm is a Portfolio Manager, Research, Vice President at Acadian Asset Management, a company specializing in Monetary Authorities-Central Bank.
Where Pavel Bandarchuk Cfa Frm graduated from?
Pavel Bandarchuk Cfa Frm holds a degree in International Economics And Finance from BRANDEIS UNIVERSITY, International Business School.
How can I directly contact Pavel Bandarchuk Cfa Frm?
To contact Pavel Bandarchuk Cfa Frm directly, you can use the email address ***********@acadian-asset.com. Complete contact information is available upon registration with Muraena.
Is Pavel Bandarchuk Cfa Frm an immigrant?
Yes, Pavel Bandarchuk Cfa Frm is an immigrant and currently based in United States
Who is Pavel Bandarchuk Cfa Frm?
Pavel Bandarchuk is a seasoned investment professional and quantitative researcher currently serving as Vice President at Acadian Asset Management in Boston. With a robust background in asset management, he specializes in developing sophisticated investment strategies and models that enhance portfolio performance while managing risk. Pavel's academic credentials include a Ph.D. in International Economics and Finance, which underpins his analytical prowess in quantitative finance. His work experience spans prestigious firms such as State Street Global Advisors and Goldman Sachs, where he led teams and contributed to significant advancements in tactical asset allocation and risk management practices. Pavel is also a published author in finance, exploring topics like momentum profits and risk appetite modeling. His advanced analytical skills, particularly in MATLAB programming, complement his deep understanding of global equity markets and portfolio optimization. He is passionate about leveraging quantitative research to drive investment decisions and improve financial outcomes.
Pavel`s contact details
***********@acadian-asset.com
Colleagues
SVP, Director, Business Development
VP, Portfolio Manager
Director - Product Strategy, Senior Vice President
Senior Vice President, Information Technology
Senior Vice President, Head of Alternative Asset and Treasury Operations
Senior Vice President, Director, Investment Data
Senior Vice President, Relationship Manager
Senior Vice President - Head of Investment Data Engineering
Senior Vice President - Head Of Investment Data Engineering
Vice President