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Haroldo Daltin

Portfolio Manager Asset Allocation at Newton Investment Management Group

Haroldo Daltin, CFA, CAIA, currently serves as a Portfolio Manager for Asset Allocation at Newton Investment Management Group, where responsibilities include managing option strategies for Dynamic Total Return funds with a focus on tail risk hedging and equity volatility risk premium since February 2016. Prior to this role, Haroldo was a Portfolio Manager for Equity Index funds at BlackRock from February 2010 to February 2016, where efforts were concentrated on generating alpha during portfolio rebalances while minimizing tracking error. Earlier experience includes serving as a Futures and Options Sales Trader at J.P. Morgan from July 2007 to February 2010, executing trades for institutional clients across various asset classes and regions. Haroldo began the career as a Financial Analyst at Decision Analytics / Money Market One from November 2005 to July 2007, focusing on fixed income research and institutional client support. Haroldo holds a Bachelor of Science in Finance from San Diego State University and has completed additional coursework at UC Berkeley Extension.

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