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Biography

Ivan Rudolph-Shabinsky, CFA
Portfolio Manager—Credit
Financial Analysts JournalThe Handbook of Stable Value InvestmentsThe Journal of Investing

Ivan Rudolph-Shabinsky is a Portfolio Manager on the Credit team and leads the Low Volatility High Yield Portfolio Management team. He joined the firm in 1992 as a Portfolio Manager, and has held several posts, including head of the Product Development team; head of Product Management; and senior portfolio manager for the Stable Value, Inflation-Linked Bond, Canadian Fixed Income and Global Fixed Income teams. Rudolph-Shabinsky is the author of “Beyond Interest Rate Anticipation: Strategies for Adding Value in Fixed Income” and co-author of “Assigning a Duration to Inflation-Protected Bonds,” both published in Financial Analysts Journal. He also co-wrote both “Managed Synthetics,” published in The Handbook of Stable Value Investments, and “LDI: Reducing Downside Risk with Global Bonds,” published in The Journal of Investing. Rudolph-Shabinsky holds a BA in economics and Soviet/East European studies from Cornell University and an MBA from Columbia University. He is a CFA charterholder. Location: New York