Kartik Aiyar
Portfolio Manager
11
years with J.P. Morgan
11
years in the Industry
Kartik Aiyar, executive director, is a portfolio manager and researcher in the Quantitative Beta Strategies group based in London. Kartik's responsibilities include model development, portfolio construction and fund management on our alternative and strategic beta factor investing products. Kartik joined the firm in 2013 after graduating from the University of Oxford with a B.A. in History and Economics.
Funds Managed
- JPM Diversified Risk A (acc) - EUR (hedged)
- JPM Diversified Risk A (acc) - SEK (hedged)
- JPM Diversified Risk A (acc) - USD
- JPM Diversified Risk C (acc) - CHF (hedged)
- JPM Diversified Risk C (acc) - EUR (hedged)
- JPM Diversified Risk C (acc) - USD
- JPM Diversified Risk C (dist) - GBP (hedged)
- JPM Diversified Risk I (acc) - JPY (hedged)
- JPM Diversified Risk I (acc) - USD
- JPM Diversified Risk X (acc) - EUR (hedged)
- JPM Diversified Risk X (acc) - GBP (hedged)
- JPM Diversified Risk X (acc) - USD
- JPM Diversified Risk X (dist) - GBP (hedged)
- JPM Global Equity Multi-Factor UCITS ETF - USD (acc)