Alexander Kozhemiakin, CFA. Banner for Macquarie Asset Management Chief Investment Officer Alexander Kozhemiakin, CFA on Emerging Markets Debt Investing - Investment Management Club

Macquarie Asset Management Chief Investment Officer Alexander Kozhemiakin, CFA on Emerging Markets Debt Investing - Investment Management Club

by Investment Management Club - E&W MBA

Event (External Speaker) 1Y 2Y Career Development Emerging Markets Evening and Weekend International Investment Management

Tue, Oct 21, 2025

5 PM – 6 PM CDT (GMT-5)

Add to Calendar

Wieboldt Hall, Room 150

340 E. Superior St, Chicago, IL 60611, United States

View Map
10
Registered

Registration

Options Sales Start Sales End Availability Price
Option Virtual Attendance

Sales Start Aug 20, 2025 at 12 AM Sales End Oct 22, 2025 at 12 AM Availability 110
Spots Left
Price FREE
Option In-Person Attendance

Sales Start Aug 20, 2025 at 12 AM Sales End Oct 22, 2025 at 12 AM Availability 53
Spots Left
Price FREE
Note: There is a limit at 120 tickets per person for this event.

Details

Macquarie's Head of Emerging Debt, Alexander Kozhemiakin, CFA, will provide an introduction to emerging markets debt investing.  He will discuss key differences between US and EM debt investments, share the macroeconomic indicators he follows most closely, and offer his current thoughts on the market.  Mr. Kozhemiakin will also offer career advice for those interested in asset management.

Alex is Head of the Emerging Markets Debt Team within Macquarie Asset Management (MAM) Credit, a role he assumed when he joined the firm in December 2018. He holds overall responsibility for the team, which manages the full spectrum of emerging markets debt strategies, including sovereign, local currency, and corporate.

Prior to joining Macquarie, Alex served as Head of Emerging Markets Debt at Standish Mellon Asset Management. Before that, he worked as an Emerging Markets Debt Portfolio Manager at Putnam Investments and as a Sovereign Analyst at Citibank.

He earned an Honors Degree from Moscow State Institute of International Relations and a Ph.D. in political science (international relations) from the University of Illinois at Urbana-Champaign. In addition, Alex held a postdoctoral fellowship in International Relations and National Security Studies at Harvard University where he wrote a book on the impact of democratization on foreign policy, Expanding the Zone of Peace? Democratization and International Security (Macmillan Press and St. Martin’s Press, 1998). He holds the Chartered Financial Analyst® designation, and his research on fixed income has been published in leading finance journals, including The Journal of Portfolio Management and The Journal of Fixed Income.

Dress Business Casual

Where

Wieboldt Hall, Room 150

340 E. Superior St, Chicago, IL 60611, United States

Speakers

Alexander Kozhemiakin's profile photo

Alexander Kozhemiakin

Head of Emerging Markets Debt

Macquarie Asset Management

https://www.linkedin.com/in/alexander-kozhemiakin-721057113/

Alexander Kozhemiakin, CFA is Head of the Emerging Markets Debt Team within Macquarie Asset Management (MAM) Credit, a role he assumed when he joined the firm in December 2018. He holds overall responsibility for the team, which manages the full spectrum of emerging markets debt strategies, including sovereign, local currency, and corporate.



Prior to joining Macquarie, Alex served as Head of Emerging Markets Debt at Standish Mellon Asset Management. Before that, he worked as an Emerging Markets Debt Portfolio Manager at Putnam Investments and as a Sovereign Analyst at Citibank.



He earned an Honors Degree from Moscow State Institute of International Relations and a Ph.D. in political science (international relations) from the University of Illinois at Urbana-Champaign. In addition, Alex held a postdoctoral fellowship in International Relations and National Security Studies at Harvard University where he wrote a book on the impact of democratization on foreign policy, Expanding the Zone of Peace? Democratization and International Security (Macmillan Press and St. Martin’s Press, 1998). He holds the Chartered Financial Analyst® designation, and his research on fixed income has been published in leading finance journals, including The Journal of Portfolio Management and The Journal of Fixed Income.


Sponsors

Sponsor's Logo

Hosted By

Investment Management Club - E&W MBA | Website | View More Events

Contact the organizers