Profil
Mr. Harjeet S.
Heer is the Head of Global Aggregate at Baring Asset Management Ltd.
He joined Baring Asset Management as a Director in 2008.
He is managing and researching Government and Corporate bonds as well as Currencies.
Previously, he worked for Credit Suisse Asset Management for twenty two years.
At CSAM, he managed Global Bond portfolios and was a Member of the Global Interest Rate Group and Global Currency Committee.
He was also the Chief Operating Officer for Fixed Income in London.
Mr. Heer holds a Bachelor of Science degree in Banking and International Finance from City University in London.
Anciens postes connus de Harjeet S. Heer
| Sociétés | Poste | Fin |
|---|---|---|
Baring Asset Management Ltd.
Baring Asset Management Ltd. Investment ManagersFinance Barings UK focuses on building long-term, trusted partnerships with their clients and utilizes an active management approach, built upon fundamental analysis, to help meet their long-term investment goals. The firm leverages its depth and breadth of expertise across the global fixed income, alternative investment and equity markets. Their expansive asset market coverage, includes global fixed income presence and high active equity expertise in international and emerging markets, contributes to the firm’s strength in multi-asset investing. This encompasses solutions such as income, target return and absolute return. | Analyst-Equity | 26/05/2010 |
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| Entreprise privées | 1 |
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Baring Asset Management Ltd.
Baring Asset Management Ltd. Investment ManagersFinance Barings UK focuses on building long-term, trusted partnerships with their clients and utilizes an active management approach, built upon fundamental analysis, to help meet their long-term investment goals. The firm leverages its depth and breadth of expertise across the global fixed income, alternative investment and equity markets. Their expansive asset market coverage, includes global fixed income presence and high active equity expertise in international and emerging markets, contributes to the firm’s strength in multi-asset investing. This encompasses solutions such as income, target return and absolute return. | Finance |
















