RS

Rajiv Sachdeva

Head Of Portfolio And Quantitative Analysis at Western Asset

Rajiv Sachdeva has a diverse work experience in the financial industry. Rajiv began their career in 1994 as a Risk Analyst at Bankers Trust. From there, they joined Merrill Lynch Global Asset Management Limited where they served as a Portfolio Manager and Head of Fixed Income Risk Management for five years. In 2002, they joined Western Asset Management as the Head of Risk Management for Europe, and later became a Partner and the Head of Risk Management and Information Technology at Dalton Strategic Partnership. Rajiv returned to Western Asset Management as the Head of Portfolio and Quantitative Analysis, a position they continue to hold since 2009.

Rajiv Sachdeva pursued their education in a chronological manner. From 1983 to 1988, they attended the University of Newcastle Upon Tyne, where they obtained a Bachelor of Medicine, Bachelor of Surgery (MBBS) degree. Moving ahead in their academic journey, from 1990 to 1994, Sachdeva enrolled at Imperial College London to pursue a PhD in Experimental Particle Physics.

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Timeline

  • Head Of Portfolio And Quantitative Analysis

    August, 2009 - present

  • Head Of Risk Management Europe

    2002

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