Kevin Yulianto
Quantitative Equity Portfolio Manager and Senior Analyst @TD
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WORK HISTORY
Quantitative Equity Portfolio Manager and Senior Analyst @TD
Toronto, ON, CA
EDUCATION
Universitas Katolik Indonesia Atma Jaya
Bachelor of Medicine
Universitas Bina Nusantara (Binus)
Master of Management
McGill University - Desautels Faculty of Management
Master of Management in Finance
ABOUT KEVIN YULIANTO
Kevin Yulianto currently serves as an Equity Portfolio Manager at the Wealth Investment Office of TD Bank Group. In this role, he is responsible for managing a diversified portfolio of global and U.S. equity ETFs, providing clients with strategic exposure to major markets. His responsibilities also include coverage of hedge fund solutions and the development of investment commentaries, where he translates complex market trends and macroeconomic developments into actionable insights for both internal stakeholders and clients. Prior to joining TD Bank Group, Kevin spent nearly four years at Alpine Macro, a prominent global investment research firm based in Montreal, Canada. During his tenure as an investment analyst, he co-authored and published more than 40 investment insights, with a particular focus on emerging markets and commodity sectors. Born and raised in Indonesia, he was originally trained to become a medical doctor, a background that instilled in him a disciplined, analytical approach and a deep respect for rigorous research. His transition into finance reflects his passion for global markets and strategic decision-making. He holds the Chartered Financial Analyst (CFA) designation, is a certified Financial Risk Manager (FRM), and has earned the Chartered Alternative Investment Analyst (CAIA) designation—highlighting his broad expertise across traditional and alternative investment domains.
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