Perfil
Ms. Jessica M.
Zarzycki, CFA, is a Portfolio Manager at Teachers Advisors LLC and a Portfolio Manager at Nuveen Asset Management LLC.
She is an integral part of the ESG/Impact fixed income strategy team and co-portfolio manager on the Core Impact Bond, Global Core Impact Bond, Green Bond and Short Duration Impact Bond strategies.
She is a frequent panelist and speaker at ESG and Impact conferences and was a member of the ICMA Advisory Board (2020-21), which provides insight and guidance to the Executive Committee on issues affecting the Green, Social, and Sustainable Bond markets.
She joined the firm in 2008 as an agency MBS analyst before joining the International/EMD sector team as a European sovereign and agency analyst.
Jessica’s analyst responsibilities included sovereigns and local markets throughout Western and Eastern Europe.
Prior to Nuveen, she worked at Citi Global Wealth Management (GWM), helping to manage liquidity and risk of the GWM balance sheet.
She graduated with a B.S.
in Business Administration with an emphasis in Finance from The Ohio State University.
She holds the CFA designation and is a member of the CFA Society New York and the CFA Institute.
Cargos activos de Jessica Zarzycki
| Empresas | Cargo | Inicio |
|---|---|---|
Teachers Advisors LLC
Teachers Advisors LLC Investment ManagersFinance TAL manages separate client-focused equity, fixed income and balanced portfolios, and equity, fixed income and balanced mutual funds. The firm invests globally across virtually all asset classes, in both traditional and alternative markets. For equity portfolios, they concentrate on individual companies rather than sectors or industries. TAL looks for companies whose assets appear undervalued in the market. For the fixed income portfolios, the firm conducts their own credit analysis, paying particular attention to economic trends and other market events to construct a portfolio of securities that is diversified, as applicable, by industry, maturity, duration, credit quality and country. | Portfolio Manager-Fixed Income | 01/01/2008 |
Nuveen Asset Management LLC
Nuveen Asset Management LLC Investment ManagersFinance NAM provides its services across a broad array of fixed income, equity and other investment strategies, including in the broad categories of municipal bonds, taxable fixed income, global and international, value, growth and core, public real assets, asset allocation, quantitative/enhanced, alternative and customized strategies. Depending on the strategy, the firm invests in a variety of securities and other investments, including in certain cases derivatives, and employs various methods of analysis and investment techniques. | Portfolio Manager-Fixed Income | - |
Formación de Jessica Zarzycki.
Experiencias
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Relaciones de 1er grado
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Empresas relacionadas
| Empresas privadas | 3 |
|---|---|
Teachers Advisors LLC
Teachers Advisors LLC Investment ManagersFinance TAL manages separate client-focused equity, fixed income and balanced portfolios, and equity, fixed income and balanced mutual funds. The firm invests globally across virtually all asset classes, in both traditional and alternative markets. For equity portfolios, they concentrate on individual companies rather than sectors or industries. TAL looks for companies whose assets appear undervalued in the market. For the fixed income portfolios, the firm conducts their own credit analysis, paying particular attention to economic trends and other market events to construct a portfolio of securities that is diversified, as applicable, by industry, maturity, duration, credit quality and country. | Finance |
The Ohio State University
The Ohio State University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Nuveen Asset Management LLC
Nuveen Asset Management LLC Investment ManagersFinance NAM provides its services across a broad array of fixed income, equity and other investment strategies, including in the broad categories of municipal bonds, taxable fixed income, global and international, value, growth and core, public real assets, asset allocation, quantitative/enhanced, alternative and customized strategies. Depending on the strategy, the firm invests in a variety of securities and other investments, including in certain cases derivatives, and employs various methods of analysis and investment techniques. | Finance |
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