Profil
Dr. Andrew M.
Bevan is a Fixed Income Strategist at Fulcrum Asset Management LLP.
He joined the firm in 2006.
Before joining Fulcrum, he spent eleven years as Managing Director and Head of Global Markets Research at Goldman Sachs.
Prior to this, Dr. Bevan was Managing Director and Head of the Financial Analytics Group at Bear Stearns.
He graduated from Reading University with a BA in Economics (1978).
He subsequently gained PhDs in Monetary Economics (1986) and Theology (2002).
Postes actifs de Andrew Maurice Bevan
| Sociétés | Poste | Début |
|---|---|---|
Fulcrum Asset Management LLP
Fulcrum Asset Management LLP Investment ManagersFinance Fulcrum is an active, global manager which invests across all major asset classes and geographies and their investment process is unconstrained by benchmarks. The firm provides investment solutions that are aligned with their clients’ risk appetite to deliver returns in the broadest range of market environments. Their investment process is driven by the Fulcrum Investment Committee, which follows a top-down approach. Fulcrum has five core capabilities: Macro & Multi-Asset, Risk Premia, Alternative Solutions, Thematic Equities and Responsible Investing. | Portfolio Manager-Fixed Income | 01/01/2006 |
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Sociétés liées
| Entreprise privées | 1 |
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Fulcrum Asset Management LLP
Fulcrum Asset Management LLP Investment ManagersFinance Fulcrum is an active, global manager which invests across all major asset classes and geographies and their investment process is unconstrained by benchmarks. The firm provides investment solutions that are aligned with their clients’ risk appetite to deliver returns in the broadest range of market environments. Their investment process is driven by the Fulcrum Investment Committee, which follows a top-down approach. Fulcrum has five core capabilities: Macro & Multi-Asset, Risk Premia, Alternative Solutions, Thematic Equities and Responsible Investing. | Finance |
















