
Brian Kersmanc
Portfolio Manager
GQG
Mr. Kersmanc serves as a Portfolio Manager for all GQG Partners’ public equity investment strategies under Rajiv Jain. As a member of the Portfolio Management team, he is responsible for the research, securities selection, portfolio construction and risk management for all GQG Portfolios . He initially joined the firm in 2016 as a Senior Investment Analyst, with a focus on Global, International, US, and Emerging Markets. Before his tenure at GQG Partners, he spent six years at Jennison Associates as an Analyst on the Small/ Midcap Equity Research team. His first role in the industry was at Brown Brothers Harriman in 2008. Mr. Kersmanc earned his MBA from Rutgers University and a BA in Economics from the University of Connecticut.





