Morgan C. Harting, CFA, FRM, CAIA

Morgan C. Harting, CFA, FRM, CAIA

Portfolio Manager—Multi-Asset Solutions

12 Years at AB
27 Years of experience

Morgan C. Harting is the lead Portfolio Manager for all Multi-Asset Income strategies and for the Emerging Markets Multi-Asset Portfolio. He joined AB in 2007 as part of the global and emerging-market equities portfolio-management team. Prior to that, Harting was a sovereign-debt analyst, first at Standard & Poor’s and then at Fitch Ratings, where he was a senior director. He holds a BA from Wesleyan University, and both an MA in international relations and an MBA from Yale University, where he was a graduate teaching fellow in international economics. Harting is a CFA charterholder, a certified Financial Risk Manager (FRM) and a Chartered Alternative Investment Analyst (CAIA). Location: New York

Getting a Grip on Emerging-Market Risks
Is It Too Late to Catch the Emerging-Market Rally?
US Election: Impact on Emerging Markets
Emerging Markets Ripen for Multi-Asset Investors
Pulling More Levers Across Emerging Markets
Could 2016 Be the Year for Emerging Equities?
Think Flexible with Emerging-Market Asset Classes
Looking for Income in All the Right Places
Looking for Income in All the Right Places
It Pays to Be Choosy in Emerging Markets
Beating the Emerging Benchmark Blues
Could the Search for Income Lead to Instability?
Five Ways to Tackle Risk in Emerging Equities

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