Profil
Christian Albert Bleszinski worked as a Trust Officer at The Capital Group Cos., Inc. and as a Portfolio Analyst at Western Asset Management Co. LLC.
He then worked as a Quantitative Analyst at Bradford & Marzec LLC and as a Senior Investment Analyst at Los Angeles County Employees Retirement Association.
Later, he worked as a Vice President & Portfolio Manager at Tortoise Credit Strategies LLC and as a Senior Portfolio Manager at R Squared BM LLC.
Bleszinski earned an undergraduate degree from California State University-Fullerton and an MBA from California Polytechnic State University.
Anciens postes connus de Christian Bleszinski
| Sociétés | Poste | Fin |
|---|---|---|
R Squared BM LLC
R Squared BM LLC Investment ManagersFinance Ducenta offers a variety of investment strategies that utilize fixed income securities and other instruments. Their general investment strategy is constructed to capitalize on an ever-changing economic cycle that influences appreciation and depreciation in different bond sectors over the cycle. Sector allocation, security selection and yield curve strategies are employed in the process and are intended to add value relative to client benchmarks. The security selection process integrates sector and industry strategy with bottom-up index structure analysis to identify and categorize opportunities. | Portfolio Manager-Fixed Income | 01/02/2023 |
Bradford & Marzec LLC
Bradford & Marzec LLC Investment ManagersFinance Bradford & Marzec is a global, fixed-income manager. The firm employs a traditional, top-down, conservative sector rotation style with a bottom-up component to capture market inefficiencies. They seek to add value by shifting between bond market sectors to capture undervalued opportunities and to avoid overvalued sectors. Bradford & Marzec manages core, core plus and high-yield fixed income portfolios utilizing a long-only investment style and limited use of derivatives. The firm has particular expertise in credit analysis. They focus on fixed-income securities ranging from higher-grade, high yield securities to investment grade securities. The firm's security selection process relies on technical and quantitative analysis to diversify portfolios across high yield securities and non-dollar investments according to each client's guidelines. High yield investments are made in securities rated B or better. Non-dollar investments are made in the sovereign debt or investment grade credit of developed countries. Currency strategies are also actively managed for hedging purposes and to add value when appropriate. Bradford & Marzec uses scenario modeling to insure against surprises and control risk. | Portfolio Manager-Fixed Income | 20/06/2016 |
Tortoise Credit Strategies LLC
Tortoise Credit Strategies LLC Investment ManagersFinance Tortoise Credit Strategies’ opportunistic approach emphasizes the utilization of traditional fixed income instruments within the various sectors of the bond market. Their non-municipals strategies are constructed to capitalize on an ever-changing economic cycle that influences appreciation and depreciation in different bond sectors over the cycle. Sector allocation, security selection and yield curve strategies are employed in the process and are intended to add value relative to client benchmarks. The firm’s primary strategy involves overweighting and underweighting sectors consistent with a particular economic business cycle phase. The decision to avoid sectors that may be overvalued or may have poor credit fundamentals is as important as selection and rotation of sectors that may have favorable credit and valuation trends. | Portfolio Manager-Fixed Income | - |
The Capital Group Cos., Inc.
The Capital Group Cos., Inc. Investment ManagersFinance Provides investment management services | Corporate Officer/Principal | - |
Western Asset Management Co. LLC
Western Asset Management Co. LLC Investment ManagersFinance Western Asset is a global fixed-income investment manager committed to delivering long-term results through active management. The investment management team seeks to exceed benchmark returns while approximating benchmark risk or, for total return portfolios, within appropriate risk tolerances. The firm’s investment philosophy combines traditional fundamental and relative value analysis with an emphasis on diversification to dampen potential volatility. Issue selection is a bottom-up process that seeks to determine undervalued or overvalued securities. | Corporate Officer/Principal | - |
Formation de Christian Bleszinski
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Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
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Relations au 1er degré
Entreprises liées au 1er degré
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Sociétés liées
| Entreprise privées | 8 |
|---|---|
The Capital Group Cos., Inc.
The Capital Group Cos., Inc. Investment ManagersFinance Provides investment management services | Finance |
Western Asset Management Co. LLC
Western Asset Management Co. LLC Investment ManagersFinance Western Asset is a global fixed-income investment manager committed to delivering long-term results through active management. The investment management team seeks to exceed benchmark returns while approximating benchmark risk or, for total return portfolios, within appropriate risk tolerances. The firm’s investment philosophy combines traditional fundamental and relative value analysis with an emphasis on diversification to dampen potential volatility. Issue selection is a bottom-up process that seeks to determine undervalued or overvalued securities. | Finance |
Bradford & Marzec LLC
Bradford & Marzec LLC Investment ManagersFinance Bradford & Marzec is a global, fixed-income manager. The firm employs a traditional, top-down, conservative sector rotation style with a bottom-up component to capture market inefficiencies. They seek to add value by shifting between bond market sectors to capture undervalued opportunities and to avoid overvalued sectors. Bradford & Marzec manages core, core plus and high-yield fixed income portfolios utilizing a long-only investment style and limited use of derivatives. The firm has particular expertise in credit analysis. They focus on fixed-income securities ranging from higher-grade, high yield securities to investment grade securities. The firm's security selection process relies on technical and quantitative analysis to diversify portfolios across high yield securities and non-dollar investments according to each client's guidelines. High yield investments are made in securities rated B or better. Non-dollar investments are made in the sovereign debt or investment grade credit of developed countries. Currency strategies are also actively managed for hedging purposes and to add value when appropriate. Bradford & Marzec uses scenario modeling to insure against surprises and control risk. | Finance |
Los Angeles County Employees Retirement Association
Los Angeles County Employees Retirement Association Investment ManagersFinance LACERA?s Board of Investments is responsible for establishing investment policies, strategies, and objectives, as well as exercising authority and control over the investment management of the fund and actuarial matters relating to setting of contributions and estimation of fund liabilities. The firm seeks to achieve the fund?s assumed rate of return over the long-term and mitigate investment risks through fund diversification. Passive management is the preferred structure for investment management, with flexibility for active strategies to add value. | Finance |
California State University-Fullerton
California State University-Fullerton Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
California Polytechnic State University (San Luis Obispo)
California Polytechnic State University (San Luis Obispo) Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Tortoise Credit Strategies LLC
Tortoise Credit Strategies LLC Investment ManagersFinance Tortoise Credit Strategies’ opportunistic approach emphasizes the utilization of traditional fixed income instruments within the various sectors of the bond market. Their non-municipals strategies are constructed to capitalize on an ever-changing economic cycle that influences appreciation and depreciation in different bond sectors over the cycle. Sector allocation, security selection and yield curve strategies are employed in the process and are intended to add value relative to client benchmarks. The firm’s primary strategy involves overweighting and underweighting sectors consistent with a particular economic business cycle phase. The decision to avoid sectors that may be overvalued or may have poor credit fundamentals is as important as selection and rotation of sectors that may have favorable credit and valuation trends. | Finance |
R Squared BM LLC
R Squared BM LLC Investment ManagersFinance Ducenta offers a variety of investment strategies that utilize fixed income securities and other instruments. Their general investment strategy is constructed to capitalize on an ever-changing economic cycle that influences appreciation and depreciation in different bond sectors over the cycle. Sector allocation, security selection and yield curve strategies are employed in the process and are intended to add value relative to client benchmarks. The security selection process integrates sector and industry strategy with bottom-up index structure analysis to identify and categorize opportunities. | Finance |
















