Aşty al-Jaaf

Portfolio Manager - Multi-asset / Derivatives - Quantitative Alternative Strategies - Vice President at Deka Investment

Aşty Al-Jaaf worked at Deka Investment from February 2016 as a Portfolio Manager - Multi-Asset / Derivatives - Quantitative Alternative Strategies - Vice President. Prior to that, they held a position at Allianz Global Investors from January 2012 to December 2015, where they worked as a working student and intern in Multi-Asset Portfolio Management and Global Economics.

Aşty Al-Jaaf has a Bachelor of Science (B.Sc.) in International Finance from Frankfurt University of Applied Sciences, which was obtained from 2009 to 2013. Aşty then completed a semester abroad at the University of Massachusetts Dartmouth in 2011, focusing on Finance and Economics. From 2013 to 2015, they pursued a Master of Science (M.Sc.) in Finance and Information Management at Goethe University Frankfurt. Currently, Aşty Al-Jaaf is a Visiting Ph.D. Student/Scholar at New York University, where they are studying Finance as a field of study. Additionally, Aşty Al-Jaaf desired to pursue a Doktor (Ph.D.) degree in Finance at Technische Universität Darmstadt.

Links

Previous companies

Allianz Global Investors logo

Timeline

  • Portfolio Manager - Multi-asset / Derivatives - Quantitative Alternative Strategies - Vice President

    February, 2016 - present