Mr. Pavlov focuses on the qualitative and quantitative aspects of the research effort at Lynx. He shares in the responsibility of manager selection and due diligence of prospective investments and assists with the monitoring and risk management of the Lynx’s current managers. In addition, he leads the management of several internally managed strategies, including the Global Real Assets Portfolio and the Lynx Opportunity Strategy.
Prior to joining Lynx, Mr. Pavlov worked for more than 3 years for Silk Invest as a Fund Manager. Before that, he spent more than 12 years at OFI Asset Management as a Fund Manager. His areas of expertise include liquid real assets, emerging markets, global long-only and diversified portfolios. He has built expertise in analyzing delta-one products including structured products, ETFs, futures, options and associated counter party risk.
Mr. Pavlov has a MSc Banking & European Finance from the University of Toulouse, France. He completed his CAIA designation in 2008. His language skills include fluency in French, Bulgarian and Russian.
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