CFA Society India is pleased to invite you for a session with Mr. Karthik Kumar – Portfolio Manager – Alternative Equities of Axis Asset Management Company Limited.
Mr. Kumar will be speaking on below:
Historically, we have seen quantitative trading being the domain of sophisticated hedge funds, but as computational power and data storage have become commoditised, traditional funds have begun to borrow quantitative techniques and tools, such as machine learning, advanced mathematical modeling, factor investing, and the use of alternative data, to make trading and portfolio allocation decisions. While some funds opt to take a call based on purely results from quantitative methods, others use it to assist fundamental decision-making on portfolios.
In this session, we intend to cover what exactly is quantitative and factor investing and the different styles and use cases. We will also see how portfolios are constructed using these methods and what are the biases that come with it.
EVENT DETAILS:
DATE: Friday, 31st March 2023 | TIME: 7.00 pm – 8.30 pm (registration start at 6:30 p.m.) | VENUE: Residency Club, Pune
REGISTRATION:
CFA Society India members: Free
CFA Charter Pending: INR 800 (all inclu.)
CFA Program Candidates: INR 800 (all inclu.)
Others: INR 1000 (all inclu.)
Karthik Kumar
Karthik Kumar joined Axis AMC in June 2019. He is responsible for developing and managing Quantitative Strategies. He has extensive experience in building and managing Quantitative strategies for India and for the Asia Pacific Region. Prior to joining Axis AMC, he was based out of Hong Kong working as a Portfolio Manager at SilverTree and Asiya Investments managing Long only & long-short funds. He started his career with Asiya Investments in 2008. Qualification:- MBA from Krannert School of Management, Purdue University, USA and B.E in Mechanical Engineering from Mumbai University (Sardar Patel College of Engineering). He is also a CFA charter holder.