Profile
Mr. Hardeep S.
Dogra is a Portfolio Manager & Research Analyst at Franklin Templeton Investments (ME) Ltd.
Mr. Dogra was previously employed as a Portfolio Manager of Emerging Market Debt by AllianceBernstein Ltd. and a Portfolio Manager by Schroder Investment Management Ltd. Previously he worked for the Global Emerging Market Fixed Income team at BNP Paribas Asset Management in London, where he was the portfolio manager responsible for EM Sovereign Hard Currency alpha generation.
Prior to that, he worked at Schroder Investment Management as a portfolio manager.
He has also held positions as an interest-rate strategist at Goldman Sachs and a credit analyst at Credit Suisse.
He holds a BSc (Hons) in mathematics from Imperial College London and an MSc in finance from Imperial College Business School.
Hardeep Singh Dogra active positions
| Companies | Position | Start |
|---|---|---|
Franklin Templeton Investments (ME) Ltd.
Franklin Templeton Investments (ME) Ltd. Investment ManagersFinance Franklin Templeton ME is an active, research-driven, team-based manager which aims to achieve superior long-term investment performance against relevant benchmarks and to provide excellent, value-added client service through equity, fixed income, alternatives and multi-asset mutual funds, as well as other investment vehicles. The firm is dedicated to investing in the Middle East and North Africa (MENA) region, as well as the East and Emerging Asia (MENASIA) regions. They perform bottom-up research to manage assets in private and public markets across all asset classes. | Analyst-Fixed Income | 31/05/2024 |
Former positions of Hardeep Singh Dogra
| Companies | Position | End |
|---|---|---|
AllianceBernstein Ltd.
AllianceBernstein Ltd. Investment ManagersFinance ABL is a research-driven, GARP-oriented manager which utilizes a bottom-up stock selection approach and performs fundamental research, seeking to invest in companies with sustainable fundamental growth and attractive valuation. Their portfolios are actively traded to capitalize on the volatility in individual stocks and the overall market. The firm offers a comprehensive range of investment services across regions and along the risk-and-return spectrum including style-pure growth equities and value equities, style blend equities, fixed-income, index and structured services, alternative investments and customized and packaged multi- asset class solutions. | Portfolio Manager-Fixed Income | 31/05/2024 |
Schroder Investment Management Ltd.
Schroder Investment Management Ltd. Investment ManagersFinance SIM is an active investment manager that utilizes a contrarian investment approach supported by fundamental, in-house research, regular company visits and their group's global network. Research is shared worldwide within the parent group and is organized in specialist teams, with local specialists contributing their expertise to global sector teams. The firm also utilizes their proprietary software, the Global Research Investment Database, to integrate and distribute in-house and external research, assisting investment managers in portfolio construction. They manage risk through another proprietary tool called Portfolio Risk Investment Strategy Manager (PRISM). | Portfolio Manager-Fixed Income | 30/11/2013 |
Experiences
Positions held
Active
Inactive
Listed companies
Private companies
Connections
1st degree connections
1st degree companies
Male
Female
Members of the board
Executives
Linked companies
| Private companies | 3 |
|---|---|
Schroder Investment Management Ltd.
Schroder Investment Management Ltd. Investment ManagersFinance SIM is an active investment manager that utilizes a contrarian investment approach supported by fundamental, in-house research, regular company visits and their group's global network. Research is shared worldwide within the parent group and is organized in specialist teams, with local specialists contributing their expertise to global sector teams. The firm also utilizes their proprietary software, the Global Research Investment Database, to integrate and distribute in-house and external research, assisting investment managers in portfolio construction. They manage risk through another proprietary tool called Portfolio Risk Investment Strategy Manager (PRISM). | Finance |
AllianceBernstein Ltd.
AllianceBernstein Ltd. Investment ManagersFinance ABL is a research-driven, GARP-oriented manager which utilizes a bottom-up stock selection approach and performs fundamental research, seeking to invest in companies with sustainable fundamental growth and attractive valuation. Their portfolios are actively traded to capitalize on the volatility in individual stocks and the overall market. The firm offers a comprehensive range of investment services across regions and along the risk-and-return spectrum including style-pure growth equities and value equities, style blend equities, fixed-income, index and structured services, alternative investments and customized and packaged multi- asset class solutions. | Finance |
Franklin Templeton Investments (ME) Ltd.
Franklin Templeton Investments (ME) Ltd. Investment ManagersFinance Franklin Templeton ME is an active, research-driven, team-based manager which aims to achieve superior long-term investment performance against relevant benchmarks and to provide excellent, value-added client service through equity, fixed income, alternatives and multi-asset mutual funds, as well as other investment vehicles. The firm is dedicated to investing in the Middle East and North Africa (MENA) region, as well as the East and Emerging Asia (MENASIA) regions. They perform bottom-up research to manage assets in private and public markets across all asset classes. | Finance |
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