Ivo Nenin
Multi-Asset Portfolio Construction and Management | Asset Allocation, Manager Selection and Oversight | Risk Management | Macroeconomic Research and Publications | Sales and Relationship Management
- Role
- Senior Portfolio Manager at U.S. Bank
- Location
- Stamford, CT, US
- LinkedIn followers
- 500 followers
About Ivo Nenin
Portfolio Manager and Investment Strategist with 17 years of experience developing and managing multi-asset and commodity portfolios. Excels in collaborating with Teams across organization, making recommendations on strategies/managers, and executing across asset classes and products. Passionate about staying abreast of market events, macroeconomic conditions, and investment strategies and applying quantitative tools to manage risk and evaluate investment products. Conducts original research on asset allocation, portfolio construction, manager selection and keeps informed on emerging investment options.
Experience
Senior Portfolio Manager
Nov 2024 — Present · Greenwich, CT, US
Education
University of Bridgeport
Bachelor of Science, Finance and Accounting
1998 — 2002
NYU Stern School of Business
Master of Business Administration (M.B.A.), Finance and Management
2010 — 2014
Skills
- Asset Managment
- Spanish
- Xp
- Investments
- Asset Allocation
- Mutual Funds
- Sql
- Quantitative Finance
- Financial Structuring
- Bloomberg
- Windows Xp
- Equities
- Structured Finance
- Oracle
- Options
- Fundamental Analysis
- Valuation
- Citrix
- Asset Management
- Market Risk
- Derivatives
- Fund of Funds
- Bonds
- Fixed Income
- Microsoft Office
- Finra
- Swaps
- Due Diligence
- Hedge Funds
- Commodity
- Series 63
- Equity Derivatives
- Institutional Investments
- Emerging Markets
- Investment Management
- Financial Modeling
- Vba
- Financial Markets
- Trading
- Investment Banking
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