Shailesh Parmar
senior vice president and portfolio manager, Acadian Asset Management
Shailesh Parmar is a senior vice president and portfolio manager at Acadian Asset Management in their multi-asset class strategies (MACS) group which focuses on systematic global macro. Within Acadian, he leads the volatility strategies segment of the MACS portfolio. Prior to his tenure at Acadian, Shailesh served as a volatility trader at AQR and as a structurer at Bank of America Merrill Lynch. With nearly two decades of experience, Shailesh excels in designing and managing systematic volatility strategies across diverse asset classes. He holds an MBA in Finance and Economics from Columbia Business School and a BA in Chemistry from Columbia University.