Jehan Sukhla has been actively engaged in investment management since 2001, coordinating manager research and portfolio construction of multi-manager portfolios across several asset classes. From 2001 to 2003, he was a graduate at BT Funds Management. He joined MLC Investment Management in 2003 as a research analyst focusing on fixed income and currency portfolios. In 2005 his responsibilities expanded to include coverage of alternative strategies and commodities, overseeing total assets/overlays of $30 billion. Since 2010 he has focused exclusively on MLC’s Alternative Strategies and is the co-portfolio manager for MLC Opportunistic Capital Solutions and MLC Reinsurance Investment Fund.
