PSP Investments
Anthony Covacevich has a strong background in risk management and consulting. Anthony started their career in the US Navy, where they gained experience as a Surface Warfare Officer, leading teams and improving training plans. After leaving the Navy, they worked at the Government Accountability Office as an Analyst, examining processes and providing recommendations for Congressional reports. Anthony then joined the IC^2 Institute as a Research Associate, where they researched market interest and coached technology companies on successful business development models. Anthony then transitioned to BearingPoint as a Consultant, leading workforce development and centralized performance management activities. Anthony continued their consulting career at Deloitte as a Senior Consultant, supporting the development of risk assessment operating models and streamlining strategic planning processes for government agencies. Anthony further enhanced their consulting skills at PwC, where they worked as a Manager, helping clients improve their governance, risk, and compliance processes and implementing enabling technologies. Most recently, Anthony joined PSP Investments as the Director of Enterprise and Non-Investment Risk. In this role, they oversee risk management strategies and initiatives within the organization.
Anthony Covacevich completed their education in a chronological manner. Anthony attended the United States Naval Academy from 1996 to 2000, where they earned a Bachelor of Science degree in English. Following this, from 2006 to 2008, they enrolled at The LBJ School of Public Affairs, obtaining a Master of Public Affairs degree. The field of study for their master's degree is not specified.
This person is not in any teams
This person is not in any offices
PSP Investments
5 followers
The Public Sector Pension Investment Board (PSP Investments) is one of Canada's largest pension investment managers with $169.8 billion of net assets as of March 31, 2020. It manages a diversified global portfolio composed of investments in public financial markets, private equity, real estate, infrastructure, natural resources, and private debt.