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GLOBAL UNCONSTRAINED FIXED INCOME MANAGER & ECONOMIC HISTORIAN (PH.D.)

I am a benchmark-agnostic global unconstrained fixed income fund manager. Although that renders me a generalist by default, my investment focus evolves around credit, comprising the investment-grade, high-yield as well as non-rated spectrum.
With a background in equity research, I harness cross-market dependencies and interconnectedness for valuation purposes of various fixed-income segments – and occasionally the other way around.
Owing to my background in academia (M.A. and Ph.D. in economic history) and hence a natural inclination for research- and data-driven approaches, my investment approach combines fundamental and quantitative aspects.
SEE HERE FOR MY BACKGROUND AND MY INVESTMENT PHILOSOPHY