Investment Team

Vlad Kotov

Portfolio Manager

Mr. Kotov joined Axonic in 2021 as a Portfolio Manager. Mr. Kotov was most recently a Portfolio Manager at BAM, where he managed an FX and Rates portfolio. He was previously a Portfolio Manager at Citadel’s Global Fixed Income Fund. Prior to that, Mr. Kotov was a trader at BlueCrest Capital Management. Mr. Kotov holds a PhD from Northwestern University.


Sign Up for the Latest Insights

This field is for validation purposes and should be left unchanged.