Sarvjeev Sidhu
About Sarvjeev Sidhu
Sarvjeev Sidhu serves as the Global Head and Portfolio Manager for Emerging Markets at Transamerica, with over 25 years of experience in investment and leadership roles. He has a strong academic background, holding a Master of Public Administration from Indiana University Bloomington and an MBA from Indiana University South Bend.
Work at Transamerica
Sarvjeev Sidhu has held the position of Global Head and Portfolio Manager for Emerging Markets at Transamerica since 1999. With over 25 years in this role, he has focused on investment strategies that cater to the unique dynamics of emerging markets. His leadership has contributed to the development and management of investment portfolios that include a variety of asset classes, particularly in the context of global emerging markets.
Current Role at Aegon Asset Management
In addition to his role at Transamerica, Sarvjeev Sidhu serves as the Head of Emerging Markets Strategy and Portfolio Manager at Aegon Asset Management. He has been in this position since 2019, working from The Hague, Zuid-Holland, Netherlands. His responsibilities include overseeing investment strategies that target emerging markets, leveraging his extensive experience in fixed income investments.
Education and Expertise
Sarvjeev Sidhu has a strong educational background in finance and public administration. He earned a Master of Public Administration from Indiana University Bloomington from 1987 to 1989. He also holds an MBA in Finance from Indiana University South Bend, completed between 1989 and 1991. Additionally, he obtained a Bachelor of Science in Computer Engineering from Birla Institute of Technology, Mesra, from 1981 to 1985. This diverse educational foundation supports his expertise in managing investments in emerging markets.
Investment Experience
With over 25 years of experience in investment and leadership roles, Sarvjeev Sidhu specializes in managing fixed income investments within global emerging markets. His portfolio management includes a focus on Sovereigns, Corporates, and Local Markets. He also serves as the portfolio manager for China QFII A-Share Equity and RMB Fixed Income, showcasing his in-depth knowledge of the complexities of these markets.