PanAgora Asset Management
Xiao C. is a seasoned Portfolio Manager at PanAgora Asset Management since September 2015, specializing in systematic equity and market neutral strategies. Prior experience includes a brief role in global asset allocation at Fidelity Investments and participation in the MIT Sloan Joint Research Proseminar with Quantitative Management Associates LLC in 2014. Xiao C. holds a Master of Science degree from the Massachusetts Institute of Technology (2014-2015) and a Bachelor of Science degree in Financial Engineering from Central University of Finance and Economics (2010-2014).
PanAgora Asset Management
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PanAgora Asset Management is a quantitative investment manager whose proprietary approach is designed to capitalize on inefficiencies across market cycles and to deliver relative and absolute returns through distinct and innovative equity, multi-asset and risk premia strategies. PanAgora’s approach combines the firm’s fundamental investment philosophy and original research with an advanced quantitative framework. These elements come together in an open, collaborative environment that builds upon the intellectual versatility of its team and leverages their complementary strengths — essential to serving the evolving objectives of institutional investors worldwide. PanAgora was founded in 1989 and is based in Boston, MA. Shareholders include the Firm’s employees and Great-West Life of Canada, a member of the Power Financial Corporation Group of Companies.