Mikhail Krayzler

portfolio manager, Allianz Global Investors
Bio

Mikhail Krayzler is a senior portfolio manager with Allianz Global Investors, which he joined in 2009.

As a member of the multi-asset team, he is primarily responsible for managing and researching liquid alternative strategies. Mr. Krayzler has longstanding experience in derivatives and quantitative finance both in industry and academia. He has a Ph.D in mathematical finance from the Technical University of Munich, a Master of Science in finance and information management from the Technical University of Munich and a Bachelor of Science in applied mathematics and informatics from the Nizhny Novgorod State Technical University.

Mikhail is a frequent speaker at conferences and seminars on risk and investment management topics. In 2012, Mikhail was awarded the 1st Gauss-prize of the German Society of Actuaries and the German Association for Insurance and Financial Mathematics for his work on variable annuities.

Event Participation

Europe EQD 2025

Europe EQD 2025

Join your peers at Europe EQD 2025 – the largest multi-asset, volatility and cross-asset systematic investing forum for institutional investors.

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