24 years of experience
years at AQR
M.B.A., New York University
B.S., University of Michigan
Oktay Kurbanov is a Principal at AQR Capital Management. He joined AQR when the firm was founded in 1998, helping to establish and manage portfolio implementation of AQR’s asset allocation strategies and overseeing portfolio implementation of the firm’s stock selection strategies. Most recently, Oktay co-headed Portfolio Implementation and Implementation Research. Prior to AQR, Oktay was a quantitative analyst in the Asset Management Division of Goldman Sachs. He earned a B.S. in physics and mathematics from the University of Michigan and an M.B.A. with concentration in finance and statistics from New York University’s Stern School of Business.
Contributed to Equity Valuation and Portfolio Management, a book edited by Frank Fabozzi and Harry Markowitz> Back to Leadership