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Farhan Mustafa

Head Of Investment Risk Management And Quantitative Investments at ClearBridge Investments

Farhan Mustafa, CFA has extensive work experience in the investment industry. Farhan began their career in 2003 as a Research Analyst at Legg Mason Capital Management, where they held the role for ten years. In 2013, they joined ClearBridge Investments as a Portfolio Analyst before being promoted to Portfolio Management Analyst - Equity in 2014. Currently, Farhan serves as the Head of Investment Risk Management and Quantitative Investments at ClearBridge Investments, where they are responsible for portfolio risk review and analysis while also leading the development and implementation of quantitative tools for portfolio construction.

Farhan Mustafa, CFA has a Bachelor of Arts (B.A.) degree in Economics & Computer Science, which they completed from Washington and Lee University between 1999 and 2003. Following this, they pursued further education and obtained an EMBA degree in MBA from the University of Maryland - Robert H. Smith School of Business during the academic year of 2013-2014.

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Timeline

  • Head Of Investment Risk Management And Quantitative Investments

    May, 2017 - present

  • Portfolio Management Analyst Equity

    May, 2014

  • Portfolio Analyst

    May, 2013