Viewpoints by Dori S. Levanoni, Portfolio Manager at First Quadrant

A partner and portfolio manager at First Quadrant, Dori is co-head of the firm's global macro strategies and is involved in all aspects of product development, from model building to risk measurement, risk allocation, and portfolio optimization. After initially joining the firm from 1991 to 1994, he returned in 1996 as head of systems. He joined the investment team in 1998 and later served as manager of currency research and director of currency strategy.
No viewpoints found
Explore the latest thinking from our network
Sign up to get market insight and analysis delivered straight to your inbox.
All Tags
- 529 plans (15)
- Absolute return (7)
- Active management (46)
- Asset allocation (57)
- Bull market (22)
- China (28)
- Commodities (11)
- Coronavirus (37)
- Currency (23)
- Dividends (22)
- ETFs (24)
- Elections (19)
- Emerging markets (26)
- Energy sector (12)
- Equities (141)
- Europe (25)
- Federal Reserve (57)
- Financials sector (25)
- Fixed income (68)
- Global economy (95)
- Growth stocks (17)
- Healthcare sector (12)
- High yield (7)
- Industrials sector (3)
- Inflation (22)
- Interest rates (65)
- International equities (25)
- Japan (1)
- Jobs market (8)
- Late-cycle investing (19)
- Liquidity (5)
- Long/short equity (16)
- Market volatility (107)
- Mid cap (8)
- Multifactor investing (31)
- Municipal bonds (8)
- Oil (6)
- Portfolio construction (52)
- QE (8)
- Risk management (43)
- Small cap (7)
- Sustainable investing (14)
- Tariffs and trade (27)
- Taxes (22)
- Technology sector (24)
- Utilities sector (5)
- Valuations (24)
- Value stocks (24)
- Yield (17)