In challenging times for global credit markets, Troika Dialog is strengthening its Risk and Capital Management Division. As Troika Dialog’s Director of Risk Management, Boris Todorov will oversee market and credit risk within Troika Dialog’s Broker, Asset Management and Private Equity divisions. Mr. Todorov will report to Richard Ogdon, Troika Dialog’s Chief Risk and Capital Officer.
Mr. Todorov joins Troika Dialog from JP Morgan Chase & Company in New York, where he worked as Vice President of Global Risk Management for alternative investments in the North American and European markets. Prior to that, Mr. Todorov was Vice President of Market Risk Management at Bear, Stearns & Co. Inc. in New York, where he specialized in various structured products, emerging and FX markets. In addition, Mr. Todorov has experience in Eastern Europe where he advised private equity investors on banking sector transactions.
Mr. Todorov’s experience in risk management comes at an opportune time. According to Richard Ogdon, "We are delighted that Boris Todorov joins us from JP Morgan in these times and brings to Troika extra depth and international experience in risk management – an area more important than ever in current market conditions."
Speaking about his new appointment, Mr. Todorov says "I am very excited to be joining Troika Dialog's team in Moscow. In the current turbulent environment Troika Dialog has proven its solid position and I strongly believe the future will bring great opportunities for the company and its clients. I look forward to working with the talented team members in further developing and expanding the risk management function to achieve superior risk adjusted returns."
Mr. Todorov holds a BS in Finance from New York University’s Stern School of Business.