RG

Raman Guglani

Portfolio Manager at Franklin Templeton Investments

Raman Guglani is an experienced portfolio manager specializing in residential credit, particularly in non-agency RMBS and whole loans. Currently serving at Franklin Templeton since January 2024, Guglani previously held a similar position at Putnam Investments from July 2013 to January 2024, where responsibilities included oversight of non-agency RMBS and whole loans. Prior roles include analyst positions focused on non-agency RMBS trading and quantitative analytics at Ocwen Financial Corporation, where debt restructuring strategies and prepayment models were developed. Earlier experience includes a summer internship at Wellington Management, where Guglani created a factor-based model for credit spreads, and an analyst position at Inductis, working on predictive modeling. Raman Guglani holds an MBA with honors in Analytic Finance and Economics from The University of Chicago Booth School of Business and a BE in Electrical Engineering from Thapar Institute of Engineering & Technology.

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