MAX MOROZ
Vice President, Head of Index Research
Max is responsible for the design, selection, and implementation of quantitative models in the areas of equity alpha, risk, transactions costs, fixed-income term structure, and global asset allocation. He also provides portfolio management training and support to institutions worldwide with assets linked to Research Affiliates’ investment products. Additionally, Max is involved in various research projects in the areas of finance and economics.
Previously, Max worked as a financial and risk management consultant to the energy industry at PriceWaterhouseCoopers, and as a valuation analyst at Protégé Venture Capital.
Max holds a Master of Science degree in management from the Anderson School at UCLA.
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