Oleg Mogilny is Managing Director, Public Market Alternatives and Factor Investing. He heads IMCO’s investments in public market alternatives with an objective to deliver absolute returns with low correlation to equity markets. He also oversees factor investing and supports portfolio construction of public equities.
Oleg has 20 years of experience in research, trading and portfolio management across major global public markets.
Prior to joining IMCO in 2019, Oleg led the Quantitative Strategies and Research group at Ontario Teachers’ Pension Plan (OTPP). In this role he led systematic absolute return strategies, factor investing in equities and investment-focused data science initiatives. This group was created by merging the thematic and quantitative team in equities with the systematic investing team in capital markets, both teams that Oleg helped to build and grow during his 16-year career at OTPP. Oleg has also managed macro portfolios, led equity portfolio strategy, managed an equity overlay and hedging program, and led research and implementation of thematic and factor investing.
Oleg holds an MBA from McGill University and a Master’s degree in Economics from Kyiv School of Economics. He is a CFA charterholder.