Alexander Dotov
Verified
Capital markets, investment management, banking, insurance and pension professional with extensive multi-asset experience in investment oversight, risk, advisory, origination and marketing roles. 15 years of sell- and buy-side hands-on involvement combining business relationships, product knowledge, Financials sector understanding and technology to service both external and internal clients and stakeholders.
Areas of experience and expertise:
1. Manager of managers. Investment performance, attribution and risk. Asset Allocation.
Asset classes: Fixed Income, Alternative Credit, Hedge Funds, Public Equities, Private Equity, Private Real Estate, Infrastructure, Venture Capital, FX.
2. Financial Institution knowledge: Asset Managers, Insurers, Public/Corporate Pension Funds, Banks, Specialty Lenders, BDCs, Mortgage REITs, Credit Unions and Fin Tech.
Asset Liability Management. Interest rate risk and balance sheet advisory. Credit portfolios.
3. Structured credit, securitized products, derivatives.
Structuring, origination, securitization, marketing, trading, hedging of fixed income products.
4. M&A
5. Intra-preneurship