
Hãy thử tìm kiếm với từ khóa khác
Tên | Tiêu đề | Kể từ | Cho tới |
---|---|---|---|
Belinda Hill | - | 2025 | bây giờ |
Tiểu sử | Ms. Hill has 19 years of investment and research experience in emerging markets. She is a Co-Portfolio Manager for Gramercy’s long-only EMD strategies and a Senior Research Analyst for the firm’s alternative portfolios. Ms. Hill also serves as a member of the Investment Committee and participates on the firm’s weekly top down and bottom-up meetings. Prior to joining Gramercy, Ms. Hill spent three years as an Emerging Markets Analyst at Apollo Global Management. At Apollo, she analyzed sovereign, quasi-sovereign, and corporate issuers across all sectors and was also responsible for sourcing and evaluating new strategic initiatives and private opportunities. Prior to Apollo, Ms. Hill worked at Schroders Investment Management for two years as an Emerging Markets Corporate Credit Analyst. There she conducted fundamental research on investment grade and high yield credit across all sectors. She also provided various portfolio managers with value-add actionable trading recommendations for Latin America based on fundamental and relative value analysis. Ms. Hill also worked at HPP, PepsiCo and Credit Suisse. Ms. Hill received her BA in Business Administration from Georgetown University where she graduated Cum Laude. Additionally, Ms. Hill is a CFA Charterholder. | ||
Philip Meier | Head of Emerging Markets Debt | 2025 | bây giờ |
Tiểu sử | Mr. Meier brings more than 13 years of investment experience to Gramercy’s Public Credit Team where he is Head of EM Debt responsible for the management of Gramercy's Long-only EM Debt Strategies. Based out of the London office, Mr. Meier is also an integral part of expanding the firm’s coverage of CEEMEA and Asia and serves as a member of Gramercy’s Credit Investment Committee, Global Research Committee and Top-Down View Group. Prior to joining Gramercy, Mr. Meier spent nearly five years at Legal & General Investment Management (LGIM) where he was a senior member of the Emerging Markets Debt Portfolio Management Team. Mr. Meier was instrumental in developing LGIM's emerging markets credit capabilities from inception, which grew to nearly $2 billion in dedicated funds during his tenure. Mr. Meier was the Co-Portfolio Manager of the L&G Emerging Markets Bond Fund, L&G Emerging Markets Short Duration Bond Fund and LGIM's Emerging Markets Debt Absolute Return Strategy. The former two funds generated significant alpha in the 1, 3 and inception to date categories, and the Absolute Return Strategy had a Sharpe Ratio of 2 during his nearly 4 year management. In addition to LGIM, Mr. Meier’s emerging markets credit experience includes time with AXA Investment Managers as Senior Portfolio Manager, Emerging Markets Fixed Income, in London. He began his emerging markets credit investing career with Deutsche Asset Management in Frankfurt. Mr. Meier graduated from the European Business School in Germany and holds an MBA-equivalent (“Diplom-Kaufmann”) in Finance & Banking. | ||
Markus Heider | - | 2023 | 2025 |
Paul McNamara | Portfolio Manager | 2000 | 2025 |
Tiểu sử | Paul McNamara joined in 1997 from the Export Credits Guarantee Department, where he worked in a similar position. Paul holds a CFA and Master's Degree in Economics from the London School of Economics. After completing this in 1991, he spent three years lecturing at the University of Warsaw before returning to the UK to work as a macroeconomist in the Government Economic Service. Paul has 9 years' experience. | ||
Michael Biggs | - | 2023 | 2025 |
Denise Prime | - | 2010 | 2023 |
Tiểu sử | Investment Manager at GAM, where she assists in the management of an emerging markets hedge fund and an emerging markets bond fund. Prior to joining GAM in April 2010, Denise worked as a portfolio manager at both Rogge Global Partners and Henderson Global Investors, focusing on emerging market debt. Denise holds a BA in Economics from the Bryn Mawr College and is a CFA charterholder. She is based in London | ||
Caroline Gorman | - | 2009 | 2017 |
Tiểu sử | Investment Manager at GAM, where she co-manages an emerging markets hedge fund and an emerging markets bond fund. Ms Gorman joined GAM following its acquisition of the fixed income and foreign exchange specialist, Augustus, in May 2009. Ms Gorman joined Augustus (then Julius Baer Investments Limited) in 2006 from 4Cast Limited (London), where she worked for eight years as an emerging markets analyst. Prior to that, she was an economist in the Australian department of the UK Treasur. She is based in London. |
Bạn có chắc là bạn muốn chặn %USER_NAME% không?
Khi làm vậy, bạn và %USER_NAME% sẽ không thể xem bất cứ bài đăng nào của nhau trên Investing.com.
%USER_NAME% đã được thêm thành công vào Danh sách chặn
Vì bạn vừa mới hủy chặn người này, nên bạn phải đợi 48 tiếng thì mới có thể khôi phục lại trạng thái chặn.
Tôi cảm thấy bình luận này là:
Cám ơn!
Báo cáo của bạn đã được gửi tới người điều phối trang để xem xét