Profil
Mr. Kevin G.
Chattwell is a Portfolio Manager at NewSmith Asset Management LLP.
He has extensive experience in trading and trading management in cash and derivative credit and interest rate products.
He was formerly head of interest rate trading for Europe at Merrill Lynch, overseeing interest rate and complex foreign exchange derivatives as well as government bond and agency trading.
Previously, he was at Dresdner Kleinwort Benson where he headed fixed income trading in emerging markets and high yield.
Prior to DKW, Kevin was at JP Morgan Chase for over 15 years, working in a wide range of key positions including credit, government bond and structured derivatives trading in Europe and derivatives trading in Asia.
He holds a BSc in Economics from Leicester University.
Anciens postes connus de Kevin G. Chattwell
| Sociétés | Poste | Fin |
|---|---|---|
NS Asset Management LLP
NS Asset Management LLP Investment ManagersFinance NAM is a research-driven manager which aims to deliver superior risk-adjusted returns to clients across a range of investment strategies. The firm's independent investment teams specialize in UK equities, global macro, private equity and European credit. The UK equities team follows a research-driven investment approach with a strong emphasis on stock-picking, coupled with a thematic overlay. The team manages both long-only and long-short equity portfolios, which are structured to benefit from the team's UK equity market experience. The Global Opportunities Team, based in London and Singapore, manages a global long-short equity portfolio with a macro overlay. They specialize in European and Asian investments, utilizing their experience and network of local contacts. NAM's Private Equity Team makes highly selective and opportunistic investments in predominantly small- to mid-cap private companies. The European Credit Team has trading experience in cash, derivatives and structured products in the fixed-income, currency and credit markets. Their investment approach is research-driven, with emphasis on credit picking and quantitative analysis to identify value across the full range of products in credit markets. They utilize credit derivatives in pursuit of non-directional trading strategies. The team manages an active, diversified European credit portfolio which was launched in 2004 | Portfolio Manager-Fixed Income | 01/01/2010 |
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| Entreprise privées | 1 |
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NS Asset Management LLP
NS Asset Management LLP Investment ManagersFinance NAM is a research-driven manager which aims to deliver superior risk-adjusted returns to clients across a range of investment strategies. The firm's independent investment teams specialize in UK equities, global macro, private equity and European credit. The UK equities team follows a research-driven investment approach with a strong emphasis on stock-picking, coupled with a thematic overlay. The team manages both long-only and long-short equity portfolios, which are structured to benefit from the team's UK equity market experience. The Global Opportunities Team, based in London and Singapore, manages a global long-short equity portfolio with a macro overlay. They specialize in European and Asian investments, utilizing their experience and network of local contacts. NAM's Private Equity Team makes highly selective and opportunistic investments in predominantly small- to mid-cap private companies. The European Credit Team has trading experience in cash, derivatives and structured products in the fixed-income, currency and credit markets. Their investment approach is research-driven, with emphasis on credit picking and quantitative analysis to identify value across the full range of products in credit markets. They utilize credit derivatives in pursuit of non-directional trading strategies. The team manages an active, diversified European credit portfolio which was launched in 2004 | Finance |
















