Summary
Haruhiko Okamoto is a portfolio manager with nine years of experience at Nomura Asset Management, specializing in Global Emerging Market FX and fixed income strategies. He combines a quantitative background鈥攆ormerly a quantitative analyst developing factor and trading strategies鈥攚ith hands-on fund management, trade execution, and cross-border operational oversight. His funds have consistently outperformed benchmarks under his stewardship, reflecting a blend of macroeconomic country analysis and data-driven allocation. Trained in mechanical engineering and robotics at Carnegie Mellon, he brings a rare technical rigor and systematic thinking to investment strategy design and process automation. Haruhiko also works closely with clients to structure and launch tailored funds, bridging quantitative insight with practical client needs. Based in Chiyoda, Tokyo, he leverages both local and global perspectives to manage emerging market risks and relative-value opportunities.
9 years of coding experience
4 years of employment as a software developer
Master of Science (M.S.), Mechanical Engineering, Robotics, Master of Science (M.S.), Mechanical Engineering, Robotics at Carnegie Mellon University
English, Japanese