Mahender Kumar Gupta

ACII (London), FIII (Mumbai), M.Com., MA, PGDM

With his extensive experience, Mahender brings a unique perspective on markets to lead investment policy and strategy at RiskBrains. As a Global Market Strategist, he is responsible for further strengthening the investment research and advisory functions across all customer segments.

Mahender is a seasoned risks and investment professional having +45 years of experience across geographies. He started his career as Direct Recruit Officer of General Insurance Corporation of India (GIC) and worked in important positions including Head-Global Risks and Investments, Integrity Consulting DMCC, Dubai ; Director, RiskBrains Global DWC LLC, General Manager-Arya Insurance Brokerage Co. LLC, Dubai, UAE, President and CEO, Glanvill Enthoven Insurance Group, London and Nigeria; General Manager-, KEK Insurance Group, Accra, Ghana; Regional Manager, Interlink Insurance and Reinsurance, Mumbai, Divisional Manager, New India Assurance -Delhi/Mumbai. He is known as a man of action achieving superlative results by working in a mission mode with impeccable integrity.

Mahender travelled across the globe including Bermuda, USA, Europe, Middle East, Africa and Far East and built excellent relations with Family Offices, Ultra HNIs/NRIs, Asset Managers, Portfolio Managers, FPIs, Mutual Funds, AIFs, Financial and Investment Professionals Trustees, Re/insurers/Brokers, and Public and Private funds.As a Master in Commerce , he has strong functional and operational understanding of the business . He is also an ACII from Chartered Insurance Institute, UK and believe in nurturing his team to deliver exceptional results.

Mahender attended and delivered presentations at international and national seminars/workshops/conferences. He possesses strong analytical, quantitative and interpersonal skills. Mahender’s core areas of interests are Risk and Investment Management, and Alternative Risks Financing. He is a regular invitee to various business and management forums and attended various risks and investment conferences /seminars/workshops.

National Institute of Securities Management (NISM) Certifications – NISM Series V-A-Mutual Funds Distributors -30/06/2023; NISM Series XXI-A-Portfolio Management Distributors-17/08/2025; NISM Series XIX-A- AIF Funds Cat III Distributors -25/08/2025 and NISM Series XV-Research Analyst Certification -17/07/2025