Profil
Mr. Anthony Karaminas, CFA, is a Director & Global Head of Sub-Advised Fixed Income at SEI Investments (Europe) Ltd. In this role, he leads manager due diligence and selection for SEI’s fund management and separate account businesses.
Prior to joining the firm, he was an Associate Portfolio Manager/Analyst within the Multi-Manager Solution team at UBS Asset Management.
He previously held the role of Sector Head of Global Fixed Income and Global High Yield with funds research in London with S&P Capital IQ; prior to that, he served as an Analyst in Melbourne, Australia.
He was also a Senior Analyst at Goldman Sachs JBWere.
Mr. Karaminas earned a Bachelor of Business (with honors) from Swinburne University in Melbourne, Australia.
He is a CFA charter holder and is a member of the CFA Institute and the CFA Society of New York.
Postes actifs de Anthony Karaminas
| Sociétés | Poste | Début |
|---|---|---|
SEI Investments (Europe) Ltd.
SEI Investments (Europe) Ltd. Investment ManagersFinance SEI Europe is an active investor which seeks to manage investment risk and provide consistent returns. They offer customized asset management programs constructed around their manager-of-manager investment philosophy. The firm combines top-down macroeconomics with bottom-up investment perspectives to construct diversified asset allocation portfolios linked to investor goals based on risk exposure and return potential. SEI Europe takes a multi-dimensional approach to portfolio construction, combining different asset classes, geographic regions, and investment styles. | Portfolio Manager-Fixed Income | 01/08/2018 |
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| Entreprise privées | 1 |
|---|---|
SEI Investments (Europe) Ltd.
SEI Investments (Europe) Ltd. Investment ManagersFinance SEI Europe is an active investor which seeks to manage investment risk and provide consistent returns. They offer customized asset management programs constructed around their manager-of-manager investment philosophy. The firm combines top-down macroeconomics with bottom-up investment perspectives to construct diversified asset allocation portfolios linked to investor goals based on risk exposure and return potential. SEI Europe takes a multi-dimensional approach to portfolio construction, combining different asset classes, geographic regions, and investment styles. | Finance |
















