Divya Singaravelu is a Senior Portfolio Manager at Itaú Asset Management, covering multi-asset Fund-of-Funds and international fixed-income funds. Her approach combines quantitative models and macroeconomic research to optimize portfolio allocation, enhance performance, and ensure effective risk management. Divya also oversees trading activities across ETFs, MFs, bonds, derivatives, and money market instruments to maintain liquidity and cost efficiency. Before her current role, Divya was an Emerging Markets Credit Trader at Banco Santander, where she managed trading activities and risk exposure for emerging markets sovereign and corporate debt instruments. Her experience extends to hedge funds, having worked as a Global Macro Research Associate at Light Sky Macro LP, where she analyzed global economic indicators and developed strategies that effectively monetized shifting market conditions. Divya holds an MBA from NYU Stern School of Business, where she graduated as a Dean’s Scholar, and a master’s degree in advanced data science and journalism from Columbia University.