Not exact matches
Back in 2003, after several years of correspondence, James Cramer invited me to write for the site, and I wrote for RealMoney on equity and
bond portfolio management, macroeconomics, derivatives, quantitative strategies, insurance issues,
corporate governance, etc..
Prior to joining the firm in 2014, Loren was a
corporate bond portfolio manager and investment - grade
corporate trader at Goldman Sachs Asset
Management (2010 — 2014).
Being newly unconstrained, «the
portfolio management team intends to invest more heavily in
corporate bonds and across the credit spectrum, and may invest more heavily in securities rated BBB and lower.»
He writes on equity and
bond portfolio management, macroeconomics, derivatives, quantitative strategies, insurance issues,
corporate governance, and more.
Back in 2003, after several years of correspondence, James Cramer invited David to write for the site, and write he does — on equity and
bond portfolio management, macroeconomics, derivatives, quantitative strategies, insurance issues,
corporate governance, and more.
Back in 2003, after several years of correspondence, James Cramer invited me to write for the site, and now I write for RealMoney on equity and
bond portfolio management, macroeconomics, derivatives, quantitative strategies, insurance issues,
corporate governance, etc..
He was responsible for the
management of all fixed income assets, created and managed SEC - registered mutual funds, and was the first
portfolio manager for their high - yield
corporate bond fund.
These firms, the Carlyle Group, Apollo Global
Management and Oaktree Capital
Management among them, have been raising billions of dollars during Europe's sovereign debt crisis to buy loan
portfolios,
corporate bonds and other holdings from troubled financial institutions on the Continent.
LG Partners, LLC (City, ST) 2000 — 2002 Member & Co-Founder • Manage two leveraged funds: Bolton Capital and Pine Hill Asset
Management • Invest primarily in equities, preferred stocks, high grade
corporate and convertible
bonds • Manage funds to maximize absolute total return ensuring exceptional returns for investors • Train junior
portfolio managers in industry best practices and
corporate policies and procedures