Raj Gana

Svp, Research, Investment Analytics at Corebridge Financial

Raj Gana is an experienced finance professional currently serving as SVP of Research and Investment Analytics at Corebridge Financial since September 2022, where responsibilities include overseeing model risk management activities related to life insurance and retirement risks. Prior to this role, Raj spent over eight years at AIG as Director of Model Risk Management, focusing on comprehensive governance and communication of model risks. Raj's career began at Freddie Mac, where extensive work as Director of Model Validation involved managing credit risk in a substantial mortgage portfolio. Raj holds a Doctor of Philosophy in Applied Economics from the University of Delaware and a Leadership and Strategic Execution certificate from The Tuck School of Business at Dartmouth.

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