Looking for some title recommendations as you compile your holiday season reading list? Here are our picks.
BlackRock (BLK) is the world's largest publicly traded investment management firm. As of December 31, 2014, it had assets under management, or AUM, of $4.65 trillion. This is ~7% of the total assets under management across the globe.
Jeffrey Rosenberg, CFA, Managing Director, is a senior portfolio manager leading our alpha-seeking long-only and factor efforts for Blackrock’s Systematic Fixed Income (“SFI”) portfolio management team. He is an active member of the SFI Investment Committee and Executive Committee and senior portfolio manager for the Alternative Capital Strategies fund. Mr. Rosenberg’s service with the firm dates back to 2011, when he joined the Fundamental fixed income group as Chief Investment Strategist for fixed income. In 2016, this role transitioned into the BlackRock Investment Institute. His responsibilities included helping to develop BlackRock's strategic and tactical views on sector allocation within fixed income, currencies and commodities. Prior to joining BlackRock, Mr. Rosenberg spent nearly 10 years at Bank of America Merrill Lynch as the Chief Credit Strategist coordinating strategy across all fixed income, securitized assets, credit, FX and commodities. In addition, Mr. Rosenberg specialized in quantitative credit modeling and developed the first commercialized credit portfolio analytics system from a dealer firm. Mr. Rosenberg earned a Masters in Science degree in Computational Finance from Carnegie Mellon, a BA in Mathematics from the Univ. of Minnesota, and a BA in Finance from the Univ. of Wisconsin.