Vladimir Kovalerchik

Portfolio Manager, Insurance Asset Management

Vladimir Kovalerchik is a managing director and portfolio manager within the Insurance Asset Management group at MetLife Investment Management (MIM). He is responsible for designing investment strategies for insurance companies across major markets, including the U.S., Japan and Bermuda. He specializes in portfolio optimization, regulatory overlays, and capital and liquidity management, ensuring clients’ portfolios are efficient, resilient, and aligned with long-term financial goals.

Vladimir has been with MetLife since 2006. Most recently he was a fixed income portfolio manager. Prior to that Vladimir was a portfolio strategist for MetLife Investments Asset Liability Management team. He began his career with MetLife as a senior quantitative analyst.

Vladimir holds an MBA in finance from New York University and a B.S. in finance from Rutgers University.