Profil
Mr. Daniel J.
Delaney, CFA, is a Deputy Chief Investment Officer at Chandler Asset Management, Inc. He plays a pivotal role in investment strategy development and portfolio risk management alongside the Co-Chief Investment Officers and is responsible for implementing portfolio strategy and securities trading in client accounts.
He is co-Chair of the Sector Committee and a member of both the Credit Committee and the Economic and Market Analysis Committee.
Prior to joining Chandler in 2021, Mr. Delaney was a Senior Portfolio Manager with Allianz Global Investors, based in New York, responsible for managing Global Credit mandates.
He also spent 10 years as a Global Credit Analyst and Portfolio Manager with Rogge Global Partners, both in London and New York.
He earned a B.A. (Honors) degree in Business Economics from the University of Exeter, UK.
He holds the designation of Chartered Financial Analyst (CFA).
Postes actifs de Daniel Joseph Delaney
| Sociétés | Poste | Début |
|---|---|---|
Chandler Asset Management, Inc.
Chandler Asset Management, Inc. Investment ManagersFinance Chandler is an active investor which aims to provide superior risk-adjusted returns across a broad range of market environments. The firm focuses on the fundamental elements that create value in fixed income portfolios: duration, sector allocation, yield curve management and security selection. They employ quantitative tools and rigorous qualitative analysis to determine relative value. | Gestionnaire de Portefeuille-Actions | 01/04/2021 |
Anciens postes connus de Daniel Joseph Delaney
| Sociétés | Poste | Fin |
|---|---|---|
Allianz Global Investors U.S. LLC
Allianz Global Investors U.S. LLC Investment ManagersFinance AllianzGI US manages client portfolios (directly or through model delivery and wrap fee programs) using traditional and systematic processes across various investment strategies. The firm offers an array of US equity strategies that vary across style and market-cap ranges. Their high yield bond and convertibles strategies employ a fundamental bottom-up process that seeks the early identification of high yield issuers that exhibit the potential for improving fundamental characteristics. AllianzGI US employs rigorous fundamental research and capital structure analysis to construct portfolios that consist of the best companies from a risk/return standpoint. They also offer alternative investment strategies that are designed to achieve absolute return, alpha enhancement and beta hedging. | Portfolio Manager-Fixed Income | 01/04/2021 |
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. | Analyst-Fixed Income | 01/04/2011 |
Allianz Global Investors GmbH (UK)
Allianz Global Investors GmbH (UK) Investment ManagersFinance AGI-UK seeks to generate investment alpha over the long term. The firm offers a diversified range of active investment strategies across four main pillars: equities, fixed income, multi assets and alternatives. Their expertise covers the developed and emerging markets as well as public and private markets. They offer single-country and global strategies and thematic and sector portfolios. As a pioneer in sustainable investing for more than two decades, AGI-UK develops specialist products and carries out dedicated research. | Gestionnaire de Portefeuille-Actions | - |
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
Relations
Relations au 1er degré
Entreprises liées au 1er degré
Homme
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Sociétés liées
| Entreprise privées | 4 |
|---|---|
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 |
Chandler Asset Management, Inc.
Chandler Asset Management, Inc. Investment ManagersFinance Chandler is an active investor which aims to provide superior risk-adjusted returns across a broad range of market environments. The firm focuses on the fundamental elements that create value in fixed income portfolios: duration, sector allocation, yield curve management and security selection. They employ quantitative tools and rigorous qualitative analysis to determine relative value. | Finance |
Allianz Global Investors U.S. LLC
Allianz Global Investors U.S. LLC Investment ManagersFinance AllianzGI US manages client portfolios (directly or through model delivery and wrap fee programs) using traditional and systematic processes across various investment strategies. The firm offers an array of US equity strategies that vary across style and market-cap ranges. Their high yield bond and convertibles strategies employ a fundamental bottom-up process that seeks the early identification of high yield issuers that exhibit the potential for improving fundamental characteristics. AllianzGI US employs rigorous fundamental research and capital structure analysis to construct portfolios that consist of the best companies from a risk/return standpoint. They also offer alternative investment strategies that are designed to achieve absolute return, alpha enhancement and beta hedging. | Finance |
Allianz Global Investors GmbH (UK)
Allianz Global Investors GmbH (UK) Investment ManagersFinance AGI-UK seeks to generate investment alpha over the long term. The firm offers a diversified range of active investment strategies across four main pillars: equities, fixed income, multi assets and alternatives. Their expertise covers the developed and emerging markets as well as public and private markets. They offer single-country and global strategies and thematic and sector portfolios. As a pioneer in sustainable investing for more than two decades, AGI-UK develops specialist products and carries out dedicated research. | Finance |
















