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Georgina Toronyi

Georgina Toronyi

Associate, MSCI Research

Georgina Toronyi is a member of the risk-management research team. Her work focuses on portfolio construction and backtesting portfolio strategies. Prior to MSCI, she worked as a treasury intern at Bank of China. Georgina holds a master’s degree in economic and financial mathematics from Corvinus University of Budapest.

Research and Insights

Articles by Georgina Toronyi

    Managing Long-Term Portfolios Through Short-Term Volatility

    5 mins read Blog | Apr 10, 2025 | Dimitris Melas, Georgina Toronyi, Thomas Verbraken

    The tariffs announced by the Trump administration on April 2 have increased market volatility, creating both risks and opportunities. Long-horizon investors may seek to exploit short-term views without straying too far from their long-horizon allocation.

    Managing Taxes Holistically May Improve Tax Efficiency

    5 mins read Blog | Dec 10, 2024 | Georgina Toronyi, Laszlo Hollo, Joseph Wickremasinghe

    Coordination across sub-accounts of a U.S.-based individual investor can potentially uncover opportunities to more effectively manage tax liability. Our case study found this result independent of the client’s benchmark-tracking and tax preferences.