Jakov Agbaba

Senior Investment Risk Analyst at Hargreaves Lansdown

Jakov Agbaba is a Senior Investment Risk Analyst at Hargreaves Lansdown, with extensive expertise in investment risk management acquired through various roles in leading financial institutions. Previous positions include Senior Investment Risk Analyst at M&G Investments and Head of Performance Measurement & Portfolio Analysis at Mediolanum Irish Operations. Jakov held the position of Risk Director at Rathbone Brothers Plc, where a comprehensive investment risk process was designed and implemented. In earlier roles, experiences as Vice President and Risk Manager at Lazard Asset Management and as a Quantitative Analyst at GAM contributed to a strong foundation in risk analysis and management. Jakov possesses a Bachelor's degree in Economics from the University of Westminster and has demonstrated a strong ability to communicate complex risk concepts clearly while having significant knowledge of equities and investment risk systems.

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