Farhan is the Head of Investment Risk Management and Head of Quantitative Research at ClearBridge Investments. He is responsible for portfolio risk analysis and review, in addition to leading our quantitative research efforts. He joined ClearBridge in 2014 and has 22 years of investment industry experience.
Farhan joined ClearBridge as a Senior Portfolio Analyst and became Head of Investment Risk Management and Head of Quantitative Research in 2017. Prior to joining ClearBridge, he was a Research Analyst at Legg Mason Capital Management, which completed its integration into ClearBridge in 2014.
Farhan received an M.B.A. from the Robert H. Smith School of Business at the University of Maryland and a B.A. in economics and computer science from Washington and Lee University. He is also a member of the CFA Institute.
Experience
- 22 years of investment industry experience
- Joined ClearBridge Investments in 2014
- ClearBridge Investments – Senior Portfolio Analyst
- Legg Mason Capital Management – Research Analyst
- M.B.A. from Robert H. Smith School of Business at the University of Maryland
- B.A. in economics and computer science from Washington and Lee University
- Member of the CFA Institute