Sergey Kraytman is a seasoned professional in the Investment Management industry, bringing over two decades of experience to his current role as Managing Director at Goldman Sachs Asset and Wealth Management. Since 1999, Sergey has honed his expertise in Trading and Market Risk, where he...
Sergey Kraytman is a seasoned professional in the Investment Management industry, bringing over two decades of experience to his current role as Managing Director at Goldman Sachs Asset and Wealth Management. Since 1999, Sergey has honed his expertise in Trading and Market Risk, where he leads a dynamic team focused on optimizing risk-adjusted returns across a diverse range of asset classes. His responsibilities extend to co-heading the Operational and Enterprise Risk functions within the Multi-Asset Solutions group, where he plays a pivotal role in developing robust risk frameworks that align with the firm’s strategic objectives.
In addition to his leadership in risk management, Sergey serves as a Senior Portfolio Manager for a family of funds, where he leverages his deep understanding of portfolio construction and asset allocation to drive performance. His extensive background in hedge funds, derivatives, and trading strategies allows him to navigate complex market environments, ensuring that investment decisions are both data-driven and aligned with clients' long-term goals. Sergey’s analytical acumen is complemented by his hands-on experience in portfolio performance analysis, enabling him to identify opportunities and mitigate risks effectively.
Throughout his career at Goldman Sachs, Sergey has progressed through various roles, starting as an Analyst in 1999 and advancing to Vice President before assuming his current position. His journey reflects a commitment to excellence and a deep-seated understanding of the intricacies of asset management. As he continues to shape the future of investment strategies at Goldman Sachs, Sergey remains dedicated to fostering innovation and delivering superior results for clients in an ever-evolving financial landscape.