Managing Director at Albright Capital Management
Washington, District Of Columbia
Albright Capital Management (“ACM”), chaired by former Secretary of State Madeleine K. Albright, is an SEC registered investment advisor focused on global emerging markets. ACM has a unique consulting relationship with Albright Stonebridge Group (“ASG”), a global strategy firm co-chaired by Madeleine Albright, former National Security Adviser Samuel R. Berger and former Secretary of Commerce Carlos Gutierrez.... Albright Capital Management (“ACM”), chaired by former Secretary of State Madeleine K. Albright, is an SEC registered investment advisor focused on global emerging markets. ACM has a unique consulting relationship with Albright Stonebridge Group (“ASG”), a global strategy firm co-chaired by Madeleine Albright, former National Security Adviser Samuel R. Berger and former Secretary of Commerce Carlos Gutierrez. • Responsible for managing a mix of EM macro, relative value and arbitrage strategies across sovereign and quasi sovereign credit, local currency denominated bonds, rates and FX asset classes. Utilize a combination of top-down macro investment process assisted by various fundamental and quantitative valuation and asset allocation models. • Responsible for developing and managing the firm’s quantitative pairs trading and multifactor based long short market neutral equity portfolio strategies. • As a voting member of the Investment Committee, involved in the evaluation and analysis of a wide spectrum of private investments and other special situation opportunities across the capital structure. • Actively and continuously interact with the principals and members of ASG, and cultivate the synergies between the two groups and channel those synergies and skills into profitable investment thesis. • Actively participated in the design and structuring of the Fund and the Firm especially being instrumental in the development of the Risk and Portfolio Management Policies and Procedures. • Personally designed and managed the development of the in-house Portfolio and Risk Management, Performance Measurement and Performance Attribution Systems.
What company does Serdar Saginda work for?
Serdar Saginda works for Albright Capital Management
What is Serdar Saginda's role at Albright Capital Management?
Serdar Saginda is Managing Director, Portfolio Manager, Emerging Markets
📖 Summary
Managing Director, Portfolio Manager, Emerging Markets @ Albright Capital Management (“ACM”), chaired by former Secretary of State Madeleine K. Albright, is an SEC registered investment advisor focused on global emerging markets. ACM has a unique consulting relationship with Albright Stonebridge Group (“ASG”), a global strategy firm co-chaired by Madeleine Albright, former National Security Adviser Samuel R. Berger and former Secretary of Commerce Carlos Gutierrez. • Responsible for managing a mix of EM macro, relative value and arbitrage strategies across sovereign and quasi sovereign credit, local currency denominated bonds, rates and FX asset classes. Utilize a combination of top-down macro investment process assisted by various fundamental and quantitative valuation and asset allocation models. • Responsible for developing and managing the firm’s quantitative pairs trading and multifactor based long short market neutral equity portfolio strategies. • As a voting member of the Investment Committee, involved in the evaluation and analysis of a wide spectrum of private investments and other special situation opportunities across the capital structure. • Actively and continuously interact with the principals and members of ASG, and cultivate the synergies between the two groups and channel those synergies and skills into profitable investment thesis. • Actively participated in the design and structuring of the Fund and the Firm especially being instrumental in the development of the Risk and Portfolio Management Policies and Procedures. • Personally designed and managed the development of the in-house Portfolio and Risk Management, Performance Measurement and Performance Attribution Systems. From April 2006 to Present (9 years 9 months) Serdar Saginda is skilled in: Emerging Markets, Bonds, FX Options, Global Macro, Currency, Corporate Finance, Valuation, Capital Markets, Due Diligence, Financial Analysis, Investments, Equities, Fixed Income, Derivatives, Investment Banking
Extraversion (E), Intuition (N), Feeling (F), Judging (J)
9 year(s), 9 month(s)
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