Brian T. Brugman

Brian T. Brugman

Portfolio Manager—Multi-Asset

11 Years at AB
16 Years of experience

Brian T. Brugman is a Senior Vice President and Portfolio Manager on the Multi-Asset Solutions team, responsible for the Alternative Return and Dynamic Asset Allocation strategies. He previously served as a senior quantitative analyst, with research focused on multi-asset factor, dynamic allocation and risk control strategies. Brugman joined the firm in 2007 as a quantitative analyst focusing on the design and management of bespoke portable alpha and liability-driven investment solutions. He holds a BS in physics and applied mathematics from the University of California, Riverside, and a PhD in physics from the University of California, Los Angeles. Location: New York

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