Yritä tehdä uusi haku
Nimi | Otsikko | Vuodesta | Saakka |
---|---|---|---|
Robert Tipp | Managing Director, Chief Investment Strategist | 2019 | now |
Elämäkerta | Robert Tipp, CFA, is a Managing Director, Chief Investment Strategist, and Head of Global Bonds for PGIM Fixed Income. In addition to co-managing the global multi-sector strategies, Mr. Tipp is responsible for global rates positioning for Core Plus, Absolute Return, and other portfolios. Mr. Tipp has worked at the Firm since 1991, where he has held a variety of senior investment manager and strategist roles. | ||
Akiva Dicktein | - | 2018 | 2019 |
Martin Hegarty | Managing Director | 2014 | 2018 |
Elämäkerta | Martin Hegarty is a Managing Director of BlackRock Financial Management since 2010 and co-head of BlackRock’s Global Inflation-Linked Portfolios since 2010. Prior to joining BlackRock Financial Management in 2010, Mr. Hegarty was a director at Bank of America Merrill Lynch, acting as a market maker and primary risk taker in treasury inflation protected securities within their global rates and currencies group. Prior to joining Bank of America Merill Lynch in 2003, he was an associate at Merrill Lynch in global rates and currencies unit in London, acting as a market maker in European, Scandanavian, and U.K. inflation linked bonds. | ||
Gargi Pal Chaudhuri | Director | 2014 | 2017 |
Elämäkerta | Gargi Chaudhuri has been with BlackRock since 2010. Prior to joining the firm, she served as a Vice President at Jefferies & Co. Ms. Chaudhuri earned a BA degree in accounting from Ohio Wesleyan University. | ||
Julien Renoncourt | Portfolio Manager | 2011 | 2014 |
Elämäkerta | Julien Renoncourt, is Head of Inflation Linked Bonds & Global Bonds and has been working in the industry since 2000, when he joined HSBC. Mr. Renoncourt leads the team of portfolio managers responsible for managing the portion of the Fund's assets allocated to HSBC. Prior to his current position, Mr. Renoncourt worked as a quantitative global bond fund manager at HSBC Global Asset Management in Japan and then moved to Asia Pacific in Hong Kong, focusing on quantitative global bond portfolios as well as structured products. He holds a Postgraduate degree in Applied Mathematics from the Universite de Lyon (France). | ||
Christian FELX | Portfolio Manager | 2011 | 2014 |
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