Joined in 2005
"Our risk management framework is designed to help us make informed investment decisions for our clients. Through real-time risk analytics and risk management’s integration into the daily portfolio construction and management process, our goal is to deliver a high degree of risk adjusted returns and preserve capital."
Mayur Saigal is Global Head of Fixed Income Risk Management, a position he has held since 2009. Mr. Saigal also co-manages the Janus Real Return strategy, a role he has held since September 2013, and serves as a Fixed Income Analyst, focused on portfolio analytics and risk management, a position he has held since joining Janus in July 2005. Mr. Saigal is also a member of the Janus Capital Group Global Allocation Committee. Prior to joining Janus, he worked as a leveraged loan analyst at ING Investments in Scottsdale, Arizona.
Mr. Saigal received his bachelor’s degree in engineering from Mumbai University and his MBA from the Thunderbird School of Global Management. He has 11 years of financial industry experience.
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