Christopher Alquiza, CFA, is an experienced finance professional currently serving as a Portfolio Manager and Trader at PGIM Fixed Income, where responsibilities include managing strategies across USD, EUR, and GBP markets for over $28 billion in assets under management since June 2015. Specialization includes foreign banks and US insurance sectors, with prior experience in managing a buy/hold strategy for a $95 billion general account from April 2012 to June 2015. Christopher also has experience as a Credit Research Analyst focusing on the financial sector and completed a summer analyst position at Goldman Sachs in credit research for both investment grade energy and high yield gaming sectors. Christopher earned a Bachelor of Science in Finance from NYU Stern School of Business in 2010.
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