
Alexander Barenboym
Portfolio Manager—Dynamic Asset Allocation
At AB
Experience
The tight connection between the investment process and the client outcome is a powerful motivator.
Alexander Barenboym, Portfolio Manager—Dynamic Asset Allocation
Some Background On Alexander
Alexander Barenboym is a Portfolio Manager in the Multi-Asset Solutions Group, where he focuses on management and design of risk-aware tactical asset allocation solutions. He also leads quantitative research and modelling of risk and volatility, and designs and manages strategies that use derivatives and options across global markets.
AB’s rigor and the longevity of its research drew Barenboym to the firm, as did its constant innovation in many market environments. “We built our quantitative and portfolio-management tools to process a large amount of information across a variety of markets,” he says. “We ground all of our research in this data.”
Understanding the trade-offs between risk, return and diversification is a hallmark of Barenboym’s approach. “We use all markets to solve investment problems,” he says.