Gaurav has over 14 years of experience in investment research and corporate finance, with expertise in High Yield corporate and alternate investing strategies. He currently provides research and analytical support in fixed income investments in the developed markets to one of the largest alternate asset manager, globally. He has wide experience in fundamental credit research, target identification, due diligence support, portfolio monitoring (mainly high yield debt) and equity investments in various sectors from developed markets. Gaurav has extensively worked on relative valuation and peer analysis; creation and updating operating/financial models; industry and macro research. He holds a PGDM (equivalent to MBA) from IMT Nagpur.