Profil
Mr. Robert M.
Golcher is a Vice President & Portfolio Manager at State Street Global Advisors Ltd. He is a Head of Rates and Aggregates within the Fixed Income Beta Team at SSGA LTD.
He joined State Street Global Advisors Ltd. in 2013 after 11 years at the Bank of England, where he worked in a variety of roles associated with the management of the UK’s Foreign Exchange Reserves.
In particular, Mr. Golcher worked on the team responsible for hedging the interest rate and currency risk of bonds held in the Reserves, before working on the team responsible for active management.
Mr. Golcher holds a Bachelor of Science in Economics from the University of Nottingham and the Investment Management Certificate (IMC).
Postes actifs de Robert Max William Golcher
| Sociétés | Poste | Début |
|---|---|---|
State Street Global Advisors Ltd.
State Street Global Advisors Ltd. Investment ManagersFinance SSGAL is an active, quantitative manager which performs in-house research and has a focus on indexing. They utilize several methods of investment analysis across a wide array of investment strategies when formulating investment advice or managing assets. The firm does not rely on one type of investment analysis over another and does not recommend one security. SSGAL seeks to utilize the most prudent methods of investment analysis based upon certain characteristics of the investment strategy and the current market conditions, as applicable. | Portfolio Manager-Fixed Income | 01/01/2013 |
Formation de Robert Max William Golcher
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| Entreprise privées | 2 |
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State Street Global Advisors Ltd.
State Street Global Advisors Ltd. Investment ManagersFinance SSGAL is an active, quantitative manager which performs in-house research and has a focus on indexing. They utilize several methods of investment analysis across a wide array of investment strategies when formulating investment advice or managing assets. The firm does not rely on one type of investment analysis over another and does not recommend one security. SSGAL seeks to utilize the most prudent methods of investment analysis based upon certain characteristics of the investment strategy and the current market conditions, as applicable. | Finance |
The University of Nottingham Malaysia Campus
The University of Nottingham Malaysia Campus Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
















