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Institutional Investor Advisor Individual Investor

Dmitry Khaykin

Managing Director, Portfolio Manager
21 Years experience
14 Years at ClearBridge

"A bottom-up approach is essential to finding companies that have attractive valuations and franchises capable of producing superior returns."

Dmitry co-manages the Large Cap Value strategy products. He joined a predecessor organization in 2003, and has 21 years of investment industry experience.

Prior to joining the organization, Dmitry was a research analyst at Gabelli & Co., where he concentrated on the telecommunications sector. He began his career at Morgan Stanley & Co. as an associate in the Risk Management Division.

Dmitry received his BA in Economics and Computer Science from New York University. He obtained his MBA in Finance and Accounting from the Wharton School at the University of Pennsylvania.

Experience

  • 21 years of investment industry experience
  • Joined a predecessor organization in 2003
  • ClearBridge Investments - Research Analyst for Media and Telecom sectors
  • Gabelli & Company, Inc. - Research Analyst for Telecom sector
  • Morgan Stanley & Co., Inc. - Associate, Risk Management
  • MBA in Finance and Accounting from the Wharton School at the University of Pennsylvania
  • BA in Economics and Computer Science from New York University

Perspectives

  • Large Cap Value Strategy
    1Q17 Commentary: Markets have largely been positive on the more business-friendly attitude emanating from the White House.
  • Large Cap Value Strategy
    4Q16 Commentary: The last year served as a strong reminder that short-term equity market returns tend to be volatile.
  • Large Cap Value Strategy
    3Q16 Commentary: A stabilization in interest rates pressured income-oriented sectors and has implications for equity performance going forward.
  • Large Cap Value Strategy
    2Q16 Commentary: In a volatile, low interest rate environment, we continue to believe that equities offer the best long-term option for investors.
  • Large Cap Value Strategy
    1Q16 Commentary: Financials were negatively impacted by stresses in the financial markets and lowered expectations for future interest rate hikes.