Radu Gabudean, Ph.D.
Vice President, Senior Portfolio Manager, Head of Research, Multi-Asset Strategies
2013
2001
Radu Gabudean is a vice president, senior portfolio manager and head of research, Multi-Asset Strategies, for American Century Investments®.
Mr. Gabudean serves on the investment team overseeing the firm's asset allocation strategies. He also attends American Century Investments' Asset Allocation Committee meetings, which is responsible for establishing investment policy and reviewing investment decisions for all of our asset allocation products.
Mr. Gabudean joined American Century from Barclays Capital, where he was vice president of quantitative strategies. In this role, he designed and implemented asset allocation solutions as well as a variety of other investing strategies, both traditional and alternative. Before joining Barclays Capital, he was a quantitative portfolio modeler with Lehman Brothers.
Mr. Gabudean earned his Ph.D. in finance from the Stern School of Business at New York University and a bachelor's degree in economics from York University in Toronto, Ontario. He has published a number of papers on asset allocation and related topics such as risk premia, correlation forecasting and volatility forecasting.