Anuranjan Sharma

Senior Vice President , Portfolio Manager Rates And FX at Voya Investment Management

Anuranjan Sharma's work experience began in 2003 as an SAP Consultant at Infosys. From 2005 to 2008, they worked as a Project Manager at Fujitsu Consulting. In 2008, they pursued an MBA at Carnegie Mellon University and graduated in 2010. Following that, from 2010 to 2013, they worked as a Research Analyst at ING Investment Management, where they developed portfolio construction techniques, scorecards, and trade ideas. Anuranjan then transitioned to the role of Senior Research Analyst, Fixed Income from 2013 to 2015. From 2015 to 2019, they served as an Assistant Vice President, Multi Sector Fixed Income at OppenheimerFunds. Since 2019, they have been working at Voya Investment Management, first as Vice President, Global Macro and currently as a Senior Vice President, Portfolio Manager Rates and FX. At Voya Investment Management, they are responsible for presenting macro themes, managing FX trading and risk management, and overseeing rates linear and non-linear positions.

Anuranjan Sharma completed an MBA in Finance and Economics from the Carnegie Mellon University - Tepper School of Business between 2008 and 2010. Prior to that, they obtained a B.Tech. degree in Chemical Engineering from the Indian Institute of Technology, Delhi, from 1999 to 2003.

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Previous companies

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Timeline

  • Senior Vice President , Portfolio Manager Rates And FX

    February, 2022 - present

  • Vice President , Global Macro

    March, 2019

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