Profile
Dr. Vivek Ramakrishnan is a Fund Manager at DSP Asset Managers Pvt.
Ltd. He has a diversified experience in credit analysis and banking spanning over two decades.
He joined DSP Investment Managers as Vice President, Investments in October 2019.
Dr. Ramakrishnan started his career in finance with CRISIL as a Credit Analyst in 1995, moved on to ICICI Prudential Mutual Fund in 2001 where he worked as Credit Analyst and Fund Manager.
Thereafter, Dr. Ramakrishnan joined Standard Chartered Bank in 2004, where he worked in multiple roles in his 15 year stint which included Research (Head Fixed Income Credit Analysis, where he covered USD bonds for Asian issuers), Capital Markets and Relationship Management - in his last assignment with the Bank, he was working as an Executive Director and Head Finance Companies.
He is a Ph.D & Master of Science in Materials Science from University of Southern California and B.Tech from Indian Institute of Technology, Madras.
Vivek Ramakrishnan active positions
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Former positions of Vivek Ramakrishnan
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DSP Asset Managers Pvt. Ltd.
DSP Asset Managers Pvt. Ltd. Investment ManagersFinance DSP Finance is an active, growth-oriented manager which invests in Indian equity and debt across market caps. The firm aims to achieve consistent, long-term results through a research-based, methodical approach to investing. The investment team concentrates on rigorous fundamental and quantitative management that seeks to achieve the best balance between risk and opportunity. They offer a range of fixed-income products for a variety of risk/return profiles. Their equity investment philosophy combines focused portfolio management, proprietary research and significant group resources. | Head-Fixed Income Invts | 2023-03-31 |
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DSP Asset Managers Pvt. Ltd.
DSP Asset Managers Pvt. Ltd. Investment ManagersFinance DSP Finance is an active, growth-oriented manager which invests in Indian equity and debt across market caps. The firm aims to achieve consistent, long-term results through a research-based, methodical approach to investing. The investment team concentrates on rigorous fundamental and quantitative management that seeks to achieve the best balance between risk and opportunity. They offer a range of fixed-income products for a variety of risk/return profiles. Their equity investment philosophy combines focused portfolio management, proprietary research and significant group resources. | Finance |
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