Jayendran Rajamony, PhD, CFA

Senior Portfolio Manager and Researcher at Man Numeric

Jay joined Man Numeric (‘Numeric’) in 2004 and is a member of the Portfolio Management team, with primary product responsibility for the US Small Cap strategies. He also serves as a co-portfolio manager on the US Large Cap and Global strategies. Jay is also a member of Numeric’s Investment Committee and he oversees Environmental, Social and Corporate Governance (‘ESG’) investing for Numeric.

Prior to assuming the current role, he served as a co-portfolio manager of Numeric’s World Market Neutral strategy since its inception in 2006. Jay was also a member of Numeric’s Strategic Alpha Research team and conducted research with a focus on the Low Volatility strategy and Numeric’s value investing process. Before joining Numeric, he worked at Independence Investments in Boston as a quantitative analyst. Earlier, Jay served as a quantitative portfolio manager in the student-run Cayuga Master of Business Administration hedge fund at Cornell University.

Jay received a Bachelor of Technology degree from the Indian Institute of Technology in Kharagpur, India, a Master of Business Administration degree with distinction from Cornell University, and a doctorate degree in physical oceanography from the University of Rhode Island. He is a member of the Chicago Quantitative Alliance, the CFA Institute, the CFA Society Boston and an editorial board member of the Journal of Environmental Investing. Jay is also a CFA charterholder.

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