Vinod Chathlani

Vinod Chathlani

Portfolio Manager—Multi-Asset Solutions

7 Years at AB
12 Years of experience

Vinod Chathlani is a Lead Portfolio Manager for Liquid Real Assets and Select Market Neutral Strategies on the Multi-Asset Solutions team. He joined AB in 2013 as a quantitative researcher and assistant portfolio manager on the Dynamic Asset Allocation team, where he helped research and develop quantitative tools and systematic strategies. Prior to that, Chathlani held roles in investment risk and corporate strategy, focusing on mergers and acquisitions. He holds a BTech from the University of Madras, India; an MFE in quantitative finance from the University of California, Los Angeles; and a PGDM (MBA) from the Indian School of Business, India. Location: New York

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