Mila Skulkina, CFA
Mila Skulkina is the lead Portfolio Manager for Lord Abbett’s emerging markets strategies.
Ms. Skulkina joined Lord Abbett in 2013. Her previous experience includes serving as Equity Research Analyst at Sanders Capital, LLC; Consultant at Bain & Company; Private Equity MBA Associate at Triton Pacific Capital Partners, LLC; Equity Research Associate at Relational Investors, LLC; and Investment Banking Analyst at Merrill Lynch. She has worked in the financial services industry since 2001.
She earned a BA in economics from the University of California Los Angeles and an MBA from the University of California Los Angeles‘ Anderson School of Management. She also is a holder of the Chartered Financial Analyst® (CFA) designation.
Economic Insights2021 Investment Outlook: Emerging-Market DebtJanuary 7, 2021 by Ludmila SkulkinaLord Abbett's outlook for emerging-market debt in 2021 considers optimism over vaccines, supportive global monetary policy, record levels of negative-yielding debt, and the prospect for a worldwide recovery in economic activity.Next Page
Economic InsightsHow the 2020 Election Could Affect Emerging Market DebtSeptember 24, 2020 by Ludmila SkulkinaValuations suggest that recovery of EM debt markets could continue, but support for globalization is in the balance.Next Page