Profil
Ms. Senan Kiran is a Director of Research at Muzinich & Co. Ltd. She has over 20 years of corporate credit research experience and is a member of the Muzinich ESG Working Group.
She also co-chairs the Disclosure and Transparency Committee and is a member of the Diversity and Inclusion Committee within the European Leveraged Finance Association (ELFA).
Prior to joining Muzinich in 2014, Ms. Kiran was with Schroders where she worked as a Senior Credit Analyst with a focus on high yield.
Previously, she worked as an Associate Director at Barclays Capital in European High Yield Research.
Her experience also includes private equity with Turkven and financial audit with Deloitte.
She earned a B.A. in Management from Bogazici University and an M.B.A. from INSEAD.
She holds the Certified Public Accountant designation in Turkey.
Postes actifs de Senan Kiran
| Sociétés | Poste | Début |
|---|---|---|
Muzinich & Co. Ltd.
Muzinich & Co. Ltd. Investment ManagersFinance Muzinich & Co. is a long-term investor which aims to generate attractive and risk-adjusted returns. The firm manages dynamic portfolios based on both fundamental and relative value considerations. Their funds target income generation and long-term capital appreciation with limited volatility. They conduct their own in-depth, bottom-up research in making investment decisions and look at the strength of a company’s business plan, its management, its history and its viability in different economic environments. In order to minimize or avoid defaults and credit impairments, Muzinich & Co. looks for bonds for which the market is mispricing risk and constantly assesses relative value and dynamically adjusts portfolios as risk-return profiles change. | Directeur de Recherche - Fxd Inc | 01/01/2014 |
Expériences
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Sociétés cotées
Entreprise privées
Relations
Relations au 1er degré
Entreprises liées au 1er degré
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Sociétés liées
| Entreprise privées | 1 |
|---|---|
Muzinich & Co. Ltd.
Muzinich & Co. Ltd. Investment ManagersFinance Muzinich & Co. is a long-term investor which aims to generate attractive and risk-adjusted returns. The firm manages dynamic portfolios based on both fundamental and relative value considerations. Their funds target income generation and long-term capital appreciation with limited volatility. They conduct their own in-depth, bottom-up research in making investment decisions and look at the strength of a company’s business plan, its management, its history and its viability in different economic environments. In order to minimize or avoid defaults and credit impairments, Muzinich & Co. looks for bonds for which the market is mispricing risk and constantly assesses relative value and dynamically adjusts portfolios as risk-return profiles change. | Finance |
















