7.0 The Investment Team
The success of a sophisticated quantitative strategy is ultimately dependent on the expertise, discipline, and collaborative experience of the team implementing it. The principals of Axiom Quantitative Partners possess a rare combination of deep academic credentials in financial econometrics and extensive practical experience in asset management. Our team is led by world-renowned experts in the field.
| Principal Name | Key Credentials | Notable Affiliations |
| Frank J. Fabozzi | PhD in Economics, CFA, CPA | Professor at EDHEC Business School; Editor of the Journal of Portfolio Management; held professorial positions at Yale and MIT; Fellow of the International Center for Finance at Yale. |
| Sergio M. Focardi | PhD in Mathematical Finance and Financial Econometrics | Visiting Professor at Stony Brook University; Professor at EDHEC Business School; founding partner of The Intertek Group; author of numerous books on financial modeling and risk management. |
| Svetlozar T. Rachev | PhD and Doctor of Science degrees | Professor at Stony Brook University; Professor Emeritus at University of California, Santa Barbara; cofounder of Bravo Risk Management Group (acquired by FinAnalytica); serves as Chief Scientist for FinAnalytica. |
This team’s collective expertise forms the intellectual foundation of our strategy and drives our ongoing research and development efforts.