Nikhil Killamsetti
Portfolio Manager @Voya Investment Management
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WORK HISTORY
Portfolio Manager @Voya Investment Management
Trading: Generate and execute mortgage derivative (IO/Inverse IO) trades for multiple portfolios with different mandates. Maintain and communicate trade color and commentary to the broader team.• Portfolio Management: Monitor portfolio positioning and achieve or maintain desired risk objectives and targets across a range of parameters. Analyze value within the sector and determine what is being priced into the market.• Teamwork: Support senior PMs in trading mortgage derivatives in highly volatile markets.
EDUCATION
National Institute of Technology Warangal
2008, Electronics and Communications Engg
Carnegie Mellon University - Tepper School of Business
MS(Computational Finance), Mathematics, Programming, Statistics and Finance
SKILLS
ABOUT NIKHIL KILLAMSETTI
Nikhil Killamsetti is a seasoned finance and investment professional currently serving as a Portfolio Manager at Voya Investment Management. At Voya, Nikhil manages mortgage derivative portfolios and builds analytical tools to identify market opportunities. His educational credentials include a bachelor\'s degree in Electronics and Communications Engineering from the National Institute of Technology, Warangal, India, and a master\'s degree in computational finance from Carnegie Mellon\'s Tepper School of Business. He holds the Chartered Financial Analyst (CFA) and Chartered Alternative Investment Analyst (CAIA) designation.
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