Profil
Mr. Kjetil M.
Birkeland is Head of Emerging Markets Sovereign Research at Standish Mellon Asset Management Co. LLC.
Prior to joining Standish in 2006, Mr. Birkeland was employed as a Senior Analyst by Hartford Investment Management Co., Inc.
Mr. Birkeland received his BS in Finance and Economics from the University of Colorado Boulder, his MPhil in Economics from the University of Cambridge, and his MBA from Dartmouth College - The Tuck School of Business at Dartmouth.
He is a Chartered Financial Analyst.
Anciens postes connus de Kjetil M. Birkeland
| Sociétés | Poste | Fin |
|---|---|---|
Hartford Investment Management Co.
Hartford Investment Management Co. Investment ManagersFinance HIMCO manages investment portfolios using a balanced top-down, bottom-up investment process, with multiple levels of investment input, within a governance framework that is designed to ensure thematic consistency. They offer a wide range of asset classes and manage fixed income and alternative investment strategies. The Investment Strategy Committee (ISC) has overall responsibility for all aspects of the investment process. | Analyst-Fixed Income | 31/12/2005 |
Standish Mellon Asset Management Co. LLC
Standish Mellon Asset Management Co. LLC Investment ManagersFinance Standish Mellon Asset Management Co. is a dedicated fixed income manager that offers a wide range of cash, credit-based and specialty bond strategies. The firm is effectively split into three divisions: the Active Fixed Income Division, the Tax-Sensitive Fixed Income Division and the Stable Value Division. Standish’s Active Fixed Income investment process combines top-down, macroeconomic analysis with bottom-up research to identify attractive securities based on proprietary, fundamental research. Their top-down approach includes macroeconomic research to assess the overall risk environment, and determine broad portfolio themes, industry emphasis, and overall portfolio quality. Standish’s Tax-Sensitive Fixed Income approach has an objective of achieving a high after-tax return on an absolute and risk-adjusted basis versus the benchmark. Their investment process emphasizes the identification of undervalued sectors and securities in the municipal and taxable bond markets. Their focus is to capitalize on yield anomalies among municipal and taxable sectors, identify undervalued securities, and pinpoint relative value between particular bonds. Standish's Stable Value investment process is marked by four key characteristics: a risk-averse style; a disciplined, quantitative approach; a flexible model; and opportunistic management. The objective is preservation of principal and the delivery of stable returns over time. | Directeur de Recherche - Fxd Inc | - |
Formation de Kjetil M. Birkeland
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Entreprise privées
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Relations au 1er degré
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Sociétés liées
| Entreprise privées | 5 |
|---|---|
Standish Mellon Asset Management Co. LLC
Standish Mellon Asset Management Co. LLC Investment ManagersFinance Standish Mellon Asset Management Co. is a dedicated fixed income manager that offers a wide range of cash, credit-based and specialty bond strategies. The firm is effectively split into three divisions: the Active Fixed Income Division, the Tax-Sensitive Fixed Income Division and the Stable Value Division. Standish’s Active Fixed Income investment process combines top-down, macroeconomic analysis with bottom-up research to identify attractive securities based on proprietary, fundamental research. Their top-down approach includes macroeconomic research to assess the overall risk environment, and determine broad portfolio themes, industry emphasis, and overall portfolio quality. Standish’s Tax-Sensitive Fixed Income approach has an objective of achieving a high after-tax return on an absolute and risk-adjusted basis versus the benchmark. Their investment process emphasizes the identification of undervalued sectors and securities in the municipal and taxable bond markets. Their focus is to capitalize on yield anomalies among municipal and taxable sectors, identify undervalued securities, and pinpoint relative value between particular bonds. Standish's Stable Value investment process is marked by four key characteristics: a risk-averse style; a disciplined, quantitative approach; a flexible model; and opportunistic management. The objective is preservation of principal and the delivery of stable returns over time. | Finance |
Hartford Investment Management Co.
Hartford Investment Management Co. Investment ManagersFinance HIMCO manages investment portfolios using a balanced top-down, bottom-up investment process, with multiple levels of investment input, within a governance framework that is designed to ensure thematic consistency. They offer a wide range of asset classes and manage fixed income and alternative investment strategies. The Investment Strategy Committee (ISC) has overall responsibility for all aspects of the investment process. | Finance |
Dartmouth College
Dartmouth College Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
University of Cambridge
University of Cambridge Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
University of Colorado Boulder
University of Colorado Boulder Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
















