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Andrei Morozov

Andrei Morozov
Executive Director, Equity Factor Modeling Research

About the Contributor

Andrei Morozov leads the research team building MSCI’s factor risk models for international equity markets. Andrei focuses on research and development of new global, regional and single-country fundamental equity models. Previously, Mr. Morozov pursued diverse research interests ranging from physics experiments in electron coincidence spectroscopy at the Max Plank Institute in Germany to leading development of proprietary video compression algorithms at a technology startup in Silicon Valley. Mr. Morozov earned a Ph.D. degree in Physics from Saint Petersburg State University in Russia.

Blog posts by Andrei Morozov

  1. Fears of a global slowdown have sent U.S. stock markets plummeting recently. Given FAANG stocks (Facebook, Apple, Amazon, Netflix and Google) have been a dominant force in driving U.S. market performance higher over the past few years, did these stocks lead the market’s downward trajectory?

  2. Given high market valuations, some investors worry that a market pullback may be at hand. We saw markets gyrate earlier this year — what if volatility returns? How investors respond to changing market conditions may depend on their time horizons.

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