Jonathan Kaczka | Voya Investment Management

Jonathan Kaczka

Jonathan Kaczka

Jonathan
 
Kaczka
CFA

Senior Vice President, Senior Asset Allocation Research Analyst

About

John Kaczka is a senior asset allocation research analyst for Multi-Asset Strategies and Solutions (MASS) at Voya Investment Management, with a focus on tactical asset allocation research. Prior to joining Voya, he was a senior treasury analyst for Pitney Bowes, focusing on investments within the global pension plans. Jon earned a BS in finance from Bentley University and is a CFA® Charterholder.

Insights by this Expert

Article: Capital Market Assumptions 2025
Market Outlook

Our long-term return expectations serve as key inputs into strategic asset allocation for multi-asset portfolios and provide context for shorter-term forecasting.

December 21, 2024
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