Real Return X: The Inflation-Linked Products Conference

Kamyar Hazaveh

Vice President, Portfolio Management and Portfolio Manager

Signature Global Asset Management

Kamyar Hazaveh, vice president, portfolio management and portfolio manager with Signature Global Asset Management, began his investment industry career in 2006. He specialises in G10 fixed-income, cash and derivatives analysis, trading and portfolio management. Before joining Signature in 2014, Kamyar worked at Ontario Teachers' Pension Plan for six years as a fixed-income trader and portfolio manager responsible for managing its $50bn allocation to global nominal and inflation-linked bonds (real money role), as well as adding value through G10 alpha strategies in both cash and derivatives (internal hedge fund role). He was the architect of the fund's liability driven investing (LDI) strategy. Mr Hazaveh holds a master of mathematical finance (MMF) degree from the University of Toronto.

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Thu 08 Sep 2016

New York