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Gaurav Saroliya

Global-macro Fixed-income Portfolio Manager at Allianz Global Investors

Gaurav Saroliya PhD is a seasoned professional in the field of macroeconomics and finance, currently serving as a Global-Macro Fixed-Income Portfolio Manager at Allianz Global Investors. With a robust background in macro strategy, Gaurav has held prominent positions including Director of Macro Strategy Services at Oxford Economics and Global Macro Strategist at Lombard Street Research. Additionally, Gaurav has experience as a Cross-Asset Trading Strategist at Lloyds Banking Group and in absolute return portfolio management at UBP - Union Bancaire Privée. Gaurav's academic credentials include a PhD in Economics from the University of York.

Links

Previous companies

Oxford Economics Ltd. logo
Lloyds Banking Group logo
Union Bancaire Privée logo

Timeline

  • Global-macro Fixed-income Portfolio Manager

    July, 2021 - present