Profiel
Mr. Matthew L.
Manion is a Portfolio Manager at Rogge Global Partners Ltd.
Prior to joining Rogge in 2006, he was a Client Services Manager at London & Capital, a Discretionary Portfolio Manager at Coutts & Co., and also an Account Manager at Natwest Technology Services.
Mr. Manion gained a BA (Hons) in Business Administration from Napier University, Edinburgh.
He holds Financial Planning Certificate Levels 1 and 2, MSI Dip Fixed Income Paper and the Investment Management Certificate (IMC).
Eerdere bekende functies van Matthew Lee Manion
| Bedrijven | Functie | Einde |
|---|---|---|
Rogge Global Partners Ltd.
Rogge Global Partners Ltd. Financial ConglomeratesFinance Rogge is an active, specialist global fixed-income manager which bases their investment philosophy on the belief that significant investment opportunities are achieved through identifying healthy entities. They believe that over time, healthy countries produce the highest bond and currency returns. For this reason, they seek out financial health in countries, currencies and companies globally. The firm has specialist knowledge in Developed Market Government Debt, Emerging Market Debt, Global Investment Grade Credit and High Yield. They follow a relative value investment philosophy, aiming to identify global markets that will outperform during any given period such as countries with healthy debt/savings dynamics or those who are recovering from a period of deterioration in their debt/savings profile. Rogge believes in the virtues of global diversification and aims to exploit the wide opportunity frontier enjoyed by a global bond manager. | Portfolio Manager-Fixed Income | 01-07-2017 |
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| Bedrijven in privébezit | 1 |
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Rogge Global Partners Ltd.
Rogge Global Partners Ltd. Financial ConglomeratesFinance Rogge is an active, specialist global fixed-income manager which bases their investment philosophy on the belief that significant investment opportunities are achieved through identifying healthy entities. They believe that over time, healthy countries produce the highest bond and currency returns. For this reason, they seek out financial health in countries, currencies and companies globally. The firm has specialist knowledge in Developed Market Government Debt, Emerging Market Debt, Global Investment Grade Credit and High Yield. They follow a relative value investment philosophy, aiming to identify global markets that will outperform during any given period such as countries with healthy debt/savings dynamics or those who are recovering from a period of deterioration in their debt/savings profile. Rogge believes in the virtues of global diversification and aims to exploit the wide opportunity frontier enjoyed by a global bond manager. | Finance |
















