Jim Cielinski, Global Head of Fixed Income at Janus Henderson Investors, looks at three key factors that could determine the direction of credit markets. How many times have you seen a chart that looks like this, suggesting that the end of the current credit cycle must be nigh? Source: NBER, Janus Henderson Investors at 28 […]
In an exclusive podcast for InvestmentEurope, hosted by Jake Moeller, head of UK and Ireland Research at Thomson Reuters Lipper, LGIM multi asset fund manager Justin Onuekwusi discusses the macro environment, global credit, inflation and equities.
Zurich-based group Fisch Asset Management has appointed Maria Stäheli as global credit portfolio manager, InvestmentEurope has learned. Stäheli has joined in August from the Swiss National Bank where she served as a senior global credit portfolio manager during almost six years. She held other roles at SNB between 2007 and 2012. In July, Fisch AM […]
Investec Asset Management has unveiled an alternative investment fund range – the Investec Global Alternative Fund 1, domiciled in Luxembourg and targeting European institutional investors. The move aims to facilitating access for clients to its range of alternative investment solutions with the new range complementing Investec’s flagship Global Strategy Fund range, also domiciled in Luxembourg. […]
The former co-portfolio manager of the Man GLG Strategic Bond and Corporate Bond funds Jon Mawby has joined Pictet Asset Management in July as senior portfolio manager, InvestmentEurope understands. Pictet has confirmed to InvestmentEurope that Mawby has been appointed within the Swiss manager’s total return fixed income team. Mawby is now a co-portfolio manager of the €288m […]
Garland Hansmann (pictured), co-portfolio manager of the Investec Global Total Return Credit fund at Investec AM, will present the company’s unconstrained and multi-asset approach to investing across the broad credit spectrum at the upcoming InvestmentEurope Swiss Summit in Bern, next 7-8 June. Hansmann will also provide an overview of the portfolio positioning. He is also responsible for […]
Investec has launched a credit strategy in the form of an open ended investment company (Oeic) for UK investors intent on both yield enhancement and capital preservation, the fund provider has said. The Investec Global Total Return Credit fund includes JLT Investment Solutions as a seed investor. The portfolio will seek out investments across the […]
The global credit specialist Bain Capital Credit has appointed Carlos Pérez de Yrigoyen as real estate portfolio manager. Pérez de Yrigoyen, who will be based in Madrid, joins Bain Capital Credit from Anticipa Real Estate (Blackstone) where during four years he worked as senior real estate manager and later as lease portfolio manager. Prior to […]
Man GLG, the investment management arm of Man Group, has hired Simon Finch as chief investment officer of credit. In this newly created role, Finch will be responsible for Man GLG’s credit business and will oversee the credit portfolio management teams. Reporting to Teun Johnston, CEO of Man GLG, he will work closely with Man […]
Paris-headquartered asset management firm Amundi has appointed Tugrul Kolad to the role of head of Fixed Income Germany in February, InvestmentEurope understands. Based in Munich, Kolad adds this position to his current role of head of Credit Quant he holds since the merger between Amundi and Pioneer Investments last summer. From 2007 to 2017, Kolad […]
London-based asset manager Algebris Investments has hired Abbas Ameli as portfolio manager within its macro team led by Alberto Gallo. He will be a portfolio manager on the $817m (€686.9m) Algebris’ Macro Credit fund. Prior to that, Ameli was at Amundi where as a portfolio manager, he covered emerging market bonds and currencies. Formerly, Ameli served at RBS […]
In an exclusive podcast for InvestmentEurope, hosted by Jake Moeller, head of UK and Ireland Research at Thomson Reuters Lipper, Peter Fitzgerald, global head of Multi-asset at Aviva Investors outlines his thoughts on fixed income, and the challenges and opportunities in ongoing levels of yield amid fears of bubbles in different credit classes.