Sammy Suzuki, CFA

Sammy Suzuki, CFA

Co-Chief Investment Officer—Strategic Core Equities

26 Years at AB
27 Years of experience

Sammy Suzuki is Co-Chief Investment Officer of Strategic Core Equities. He has been managing the Emerging Markets Strategic Core Portfolio since its inception in July 2012, and the Global, International and US portfolios since 2015. Suzuki has managed portfolios for well over a decade. From 2010 to 2012, he also held the role of director of Fundamental Value Research, where he managed 50 fundamental analysts globally. Prior to managing portfolios, Suzuki spent a decade as a research analyst. He joined AB in 1994 as a research associate covering the capital equipment industry, and then became an analyst covering the technology industry. Suzuki became portfolio manager in 2004. From 1998 to 2004, he served as senior research analyst for the global automotive industry. Before joining the firm, Suzuki was a consultant at Bain & Company. He holds a BS in materials science and engineering and a BS in finance (both magna cum laude) from the University of Pennsylvania. He is a CFA charterholder and a member of the Board of the CFA Society New York. Location: New York

Finding Defensive Stocks Ripe for Recovery
Beyond Renewables, Low-Carbon Investing Eyes Energy Efficiency
Raising Equity Defenses for the COVID-19 Recovery
Rediscovering the Appeal of Emerging Market Equities
When Markets Are Recovering, Don’t Ignore Volatility
Intangible Assets Provide Tangible Defenses for Equities
Low-Carbon Investing Doesn’t Have to Mean Low Return
Capturing the Ups and Downs in Coronavirus Equity Markets

Capturing the Ups and Downs in Coronavirus Equity Markets

by Kent Hargis, Sammy Suzuki, Jillian Geliebter
Several equity factors diverged significantly from their typical performance patterns during the COVID-19 crisis. By understanding how factor returns behaved in this market correction relative to their historic norms, investors can not only prepare for future volatility but also take advantage of short-term market dislocations.

Active & Passive , Coronavirus, Equities, Volatility

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