MR

Manoj R.

Portfolio Manager & Strategist

Manoj R. is a seasoned investment professional with extensive experience in portfolio management and strategy across various markets. Currently serving as Portfolio Manager & Strategist at PGIM since August 2011, Manoj R. specializes in global asset allocation, equity, and fixed income markets, managing global equity portfolios and emerging market sovereign debt. Prior experience includes participation as a Superforecaster with the Good Judgment Project from 2011 to 2015, where contributions ranked among the top 2% in predicting geopolitical and economic events. Previously, Manoj R. held positions at PGIM Global Partners, Allianz Hedge Fund Partners, CSFB Bank of New York, and Wipro GE, accumulating a diverse skill set in financial markets, quantitative analysis, and technology solutions. Educational background includes a Chartered Financial Analyst designation, an MBA in Finance from the Indian Institute of Management, Calcutta, and a Master's in Financial Engineering from the University of California, Berkeley.

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