Forthcoming Event: Managing Fixed Income Portfolios in a Rising Interest Rate Environment
How will fixed income managers cope when interest rates start to rise? Will it still be possible to earn positive returns? How can managers protect their investors’ interests? This talk addresses a specific challenge facing fixed income managers, but the lessons could be applied throughout the investment industry. This is a technical insight from an expert currently working in the investment management industry, which will be of interest to any students who are considering a career in investment management.
Andrew Bevan, Director of Research, Fulcrum Asset Management
Andrew is the Fixed Income Strategist and manages the Fixed Income Absolute Return strategy at Fulcrum Asset Management. He is also a member of the Fulcrum Investment Team.
Andrew joined Fulcrum in 2006 after spending eleven years as Managing Director and Head of Global Markets Research at Goldman Sachs. Prior to this, Andrew spent four years at Bear Stearns in the role of Managing Director and Head of the Financial Analytics and Structured Transactions Group. Andrew graduated from Reading University with a BA in Economics (1978). He has subsequently gained PhDs in Monetary Economics (1986) and Theology (2002).