Chris Doheny
Principal
29 years of experience
12
years at AQR
CFA
B.S., Boston College
M.B.A., Massachusetts Institute of Technology
Chris Doheny is a Principal at AQR Capital Management, where he leads the Global Stock Selection product specialist team. In his role, he conducts analysis on equity-related topics, and serves as a lead presenter of the firm’s stock selection and multi-strategy offerings to existing investors and external audiences. Chris previously held a similar role within AQR’s Global Asset Allocation group, working on a variety of global macro strategies. He also sits on AQR’s Equities Investment Committee, which oversees long-only and long-short equity strategies. Prior to joining AQR, he was associate director of asset allocation and risk for the Ford Foundation and held roles at Bridgewater Associates, Morgan Stanley and Wellington Management Co. Chris earned a B.S. in economics and operations management from Boston College, graduating magna cum laude, and an M.B.A. from MIT’s Sloan School of Management. He is a CFA charterholder and holds a Certificate in Quantitative Finance (CQF).