Vladimir Malygin

Vice President | Quantitative Researcher at Goldman Sachs

Vladimir Malygin is a Vice President and Quantitative Researcher at Goldman Sachs, focusing on Quantitative Investment Strategies in Equity since January 2023. Prior experience includes a role as a Quantitative Researcher at APG Asset Management from June 2021 to December 2022, where notable contributions included developing a decision-support system for portfolio optimization and a Monte-Carlo based model for selecting external asset managers. Additionally, Vladimir served as a Junior Quantitative Analyst at Aegon from June 2019 to May 2021, contributing to a unified investment strategy application. Academic credentials include an MSc in Quantitative Finance & Financial Economics from Erasmus University Rotterdam and a MSc in Quantitative Finance from Higher School of Economics, complemented by a Certificate in Quantitative Finance from CQF Institute.

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