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Name | Title | Since | Until |
---|---|---|---|
Charles de Quinsonas | - | 2024 | Now |
Biography | Charles de Quinsonas is an emerging market corporate bond specialist and has been working as co-fund manager and deputy fund manager for a series of emerging markets corporate bond funds domiciled in London and Luxembourg since 2015. He has more than a decade of emerging market corporate bond experience, with a deep knowledge of high yield credit. Prior to joining M&G in 2014, he worked at Spread Research in Lyon and New York, where he spent four years analysing a variety of high yield and emerging market industrial credits. Charles holds a B.B.A. from ESSEC Business School and a MSc in Corporate Finance from iaelyon School of Management. | ||
Claudia Calich | Head | 2013 | Now |
Biography | Claudia Calich joined M&G in October 2013 as a specialist in emerging markets debt and, in December 2013, started managing the Emerging Markets Bond strategy. Since May 2017, she has also been on the management team of strategies domiciled in Luxembourg. Claudia has more than 20 years of experience in emerging markets, including as a senior portfolio manager at Invesco in New York, and previous positions at Oppenheimer Funds, Fuji Bank, Standard & Poor’s and Reuters. | ||
Mike Riddell | Lead Portfolio Manager | 2010 | 2013 |
Biography | Mike Riddell joined Fidelity in July 2024 and is the Lead Portfolio Manager for Fidelity’s Strategic and Total Return Fixed Income range. He works closely with Co-PMs Tim Foster and Ravin Seeneevassen, supported further by the wider Fidelity Fixed Income team using a team-based investment approach. Prior to Fidelity, Mike was a senior portfolio manager at AllianzGI, after joining in 2015. At AllianzGI, Mike was the head of the Macro Unconstrained Fixed Income Team and was the Lead Portfolio Manager for the Strategic Bond Funds. In addition, Mike was the Lead Portfolio Manager for the Allianz Index-Linked Gilt and Allianz Gilt Yield funds. Prior to AllianzGI, Mike worked at M&G in London for 12 years, during which the latter half was as a fixed income portfolio manager. There, he was the lead manager of the M&G Index Linked Bond Fund, Global Government Bond Fund and Gilt and Fixed Interest Income Fund. Mike was also the deputy fund manager for M&G’s Global Macro Bond Fund. Before M&G, Mike worked at Premier Asset Management. Mike graduated from Birmingham University in 2001 with a BSc (Hons) in Money, Banking and Finance. | ||
Jim Leaviss | Head | 2007 | 2010 |
Biography | Jim Leaviss was appointed CIO of M&G Public Fixed Income in February 2020, heading a team that invests across investment grade and high yield credit, government debt and emerging markets debt. He joined M&G in 1997 after five years at the Bank of England, where he worked as a gilt market analyst and dealer. As well as heading up the team, Jim is manager and co-manager of a range of fixed income funds domiciled in London and Luxembourg. | ||
Michael Lack | dealer, market Specialist | 2003 | 2006 |
Biography | Michael joined M&G in 1994 as a dealer and market specialist. He has considerable experience of dealing in government and corporate securities. Michael previously worked for SwissRe as a portfolio manager managing US and Irish government bond portfolios. He graduated in 1991 from Queen Mary College, University of London with a degree in Business Economics. |
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