Financial Analysis
Satish  Ananthaswamy

Satish Ananthaswamy

Adjunct Professor and Associate Director, MSRM

Satish Ananthaswamy is the Director and Senior Portfolio Manager, and a member of the Portfolio Management Team, responsible for managing the fixed income portfolios for the Board of Regents, University of California.

Prior to joining the Treasurer's Office in 1998, he was VP/Director of Reuters Risk Management; Quantitative Analyst for Lincoln Investment Management and Fixed Income analyst for Analytic Investment Management.

He earned his MBA in Finance from the University of Southern California, MS in Engineering from the University of Houston and BS in Engineering from the University of Bangalore in India.

He has also earned his CFA charter and contributed as an author, writing two chapters for the Handbook of Derivative Instruments. He founded the San Francisco chapter of GARP (Global Association of Risk Professionals) in 1997 and has since been serving as its Director. He has been a CFASF Board Member since 2005 and currently serves as Past President. He is also currently serving as a Board Member for the Center for Investment Studies at the USC Marshall School of business.

Education

University of Southern California, MBA

Administrative Appointments

Chartered Financial Analyst
Director, San Francisco Chapter of GARP
Associate Director, MSRM Program

Courses Offered
  • Fixed Income Valuation I
  • Fixed Income Valuation II
  • Portfolio Management