Jarrod Quigley
Managing Director
Jarrod Quigley
Managing Director

Jarrod Quigley

Managing Director

 
 
Background
Jarrod is a portfolio manager on the AIP Hedge Fund team within Morgan Stanley Investment Management, focusing on relative value, mortgage and secondaries strategies; he is also a member of the Investment Committee. He joined Morgan Stanley Investment Management in 2004 and has 16 years of industry experience. Prior to joining the firm, Jarrod was an investment banking analyst in the financial institutions group of A.G. Edwards & Sons. Previously, he worked as a summer finance analyst for Lehman Brothers, where he focused on equity derivatives. Jarrod received a B.S. summa cum laude in finance from Babson College where he was also valedictorian. He holds the Chartered Financial Analyst designation.
 
 
Insights
Investment Insight
AIP Hedge Fund Review and Outlook
Nov 12, 2018
Michelle Schepis provides the team’s view on recent performance of the hedge fund industry and the team’s outlook for hedge fund strategies going forward.
Investment Insight
Introduction to Alternative Risk Premia
Oct 08, 2018
In this paper, we seek to introduce the concept of alternative risk premia, explain how investors can access them, and present the potential benefits and drawbacks associated with them.
Investment Insight
Due Diligence on Alternative Risk Premia
Sep 05, 2018
While alternative risk premia have existed for some time, they have only recently begun to be evaluated by a broad swath of investors. We thought it timely to share our insights.
 

Team members may change from time to time.

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