Vinod Chathlani

Vinod Chathlani

Portfolio Manager—Multi-Asset Solutions

5 Years at AB
10 Years of experience

Vinod Chathlani is Lead Portfolio Manager for the Real Asset Strategy in the Multi-Asset Solutions Group. He also spearheads real asset research initiatives and chairs global real asset investment discussions across the firm. Chathlani 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 tool sets, systematic strategies and investment processes for investing across global real assets. He holds a B.Tech from Madras University, 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

Four Reasons Why It’s Time to Get Real About Inflation
Trumpflation Risk: What You Need to Know
What Are Investors Overlooking? It Could Be Higher Inflation
Oil: Paving the Road to Recovery
Low Liquidity? Time for Traders to Dig Deep
Is Inflation Protection Passé? Not Quite

The content on this page may include link(s) that will take you out of our website. This is provided for your information and convenience. We are not responsible for the content of any third party's website, including the website(s) you may link to. We are not affiliated with any other website and do not endorse any information contained on any third party's website.

Back to a top