Qatar Investment Authority
Hao Guo currently serves in the role of Public Markets Risk and Portfolio Analysis at Qatar Investment Authority, focusing on strategies such as the Factor Model, Black-Litterman Model, and Risk Parity Strategy since August 2023. Previously, Hao held the position of Quantitative Researcher at Time Research from May 2022 to August 2023, specializing in High Frequency Trading. Prior to that, from July 2018 to April 2022, Hao worked as a Senior Quantitative Analyst at Citi, where responsibilities included developing Algorithmic Trading Models. Earlier experience includes serving as a Quantitative Alpha Researcher at Trexquant Investment LP, engaged in Alpha Signal Generation and Statistical Arbitrage from September 2017 to May 2018. Hao obtained a Master of Science in Financial Engineering from New York University (2016-2018) and holds a Bachelor of Science in Risk Management from Zhejiang University, along with participating in a Non-degree Exchange Program at The University of Hong Kong.
Qatar Investment Authority
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Qatar Investment Authority (“QIA”) is the sovereign wealth fund of the State of Qatar. QIA was founded in 2005 to invest and manage the state reserve funds. QIA is among the largest and most active sovereign wealth funds globally. QIA invests across a wide range of asset classes and regions as well as in partnership with leading institutions around the world to build a global and diversified investment portfolio with a long-term perspective that can deliver sustainable returns and contribute to the prosperity of the State of Qatar.