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Название | Заголовок | Год | До |
---|---|---|---|
Jo Anne Ferullo | Portfolio Manager | 2024 | Сейчас |
Биография | Ms. Ferullo is a Portfolio Manager within Franklin Templeton Fixed Income focusing on Stable Value strategies. She co-leads and is responsible for the oversight, development, and management of Stable Value strategies, including responsibilities for top-down asset allocation decisions along with book value contract negotiations/relationships. In addition, she is also responsible for the communication of policy, strategy, and tactics to Franklin Templeton's fixed income clients. Ms. Ferullo joined Putnam in 2010 and has been in the investment industry since 1989. Previously at Putnam, Ms. Ferullo served as a Senior Investment Director, Fixed Income, overseeing the product development efforts for the firm's fixed income strategies, including Putnam Ultra Short Duration Income Fund, Putnam's U.S. High Yield and Tax-Exempt products and strategies, and numerous structured credit and multi-sector strategies. Prior to joining Putnam, Ms. Ferullo was a Vice President, de facto Chief Operating Officer, and a Commercial Real Estate Loan Workout Officer at State Street Bank and Trust from 2009 to 2010 and a Vice President, Fixed Income Portfolio Manager, at State Street Global Advisors from 1998 to 2009. Earlier, she served at Fidelity Investments as a Fixed Income Assistant Trader from 1996 to 1998 and an Accounting Manager and Mutual Fund Accountant II from 1989 to 1996. Ms. Ferullo earned an M.B.A. from Boston University and a B.A. from Boston College. | ||
Michael V. Salm | Chief Investment Officer | 2024 | Сейчас |
Биография | Mr. Salm is a Co-Head of Fixed Income, specializing in liquid markets and securitized strategies. In this role, he oversees investment strategies related to mortgage and securitized products, interest-rate and volatility derivatives, and money markets. In addition, he manages trading operations and Putnam's Fixed Income quantitative teams. He is a portfolio manager of core global, core plus, global government, fixed income global alpha, and dedicated mortgage strategies, as well as fixed income hedge funds. Mr. Salm joined Putnam in 1997 and has been in the investment industry since 1989. Previously at Putnam, he served as a Portfolio Manager responsible for mortgage strategies in fixed income portfolios. Prior to joining Putnam, Mr. Salm was a Mortgage Specialist at BlackRock Financal Management from 1996 to 1997, a Vice President and Trader at Nomura Securities from 1994 to 1996, a Vice President and Structurer at Nikko Securities from 1993 to 1994, and an Analyst at Fitch Investor Services from 1991 to 1992. Mr. Salm earned a B.S. from Cornell University. | ||
Andrew Benson | Portfolio Manager | 2008 | Сейчас |
Биография | Mr. Benson is a Portfolio Manager in the Fixed Income group. He specializes in investment-grade and crossover strategies within the Corporate and Tax-Exempt Credit team. Mr. Benson is a Portfolio Manager of Putnam`s Core Bond, Core Bond Intermediate, Core Plus, Investment-Grade Corporate Credit, Short Duration Bond, Stable Value, and Ultra Short Duration Income strategies as well as crossover credit and preferred mandates. He collaborates with portfolio managers and analysts on ESG integration, assessing the fundamental relevance of ESG issues at a security level and the potential for alpha generation and risk mitigation at the portfolio level. Mr. Benson has been in the investment industry since he joined Putnam in 2008. Previously at Putnam, Mr. Benson was an Investment-Grade Trader and an Analyst in the Global Credit Research group, focusing on high-yield and investment-grade issuers in the food, beverage, restaurant, and supermarket sectors. Earlier, he served as a High-Yield Trader and Investment Associate, covering the gaming, technology, and auto supplier sectors. Mr. Benson earned a B.A. in Economics from Tufts University. | ||
Steven Horner | Portfolio Manager | 2002 | Сейчас |
Биография | Mr. Horner is a Portfolio Manager in the Corporate and Tax-Exempt Credit group within Fixed Income, focusing on Putnam`s Stable Value strategies. He manages stable value, general account insurance, structured investment-grade, absolute return, and multi-sector fixed-income portfolios. Mr. Horner is responsible for portfolio construction, fiduciary oversight, and the communication of investment team decisions on policy, strategy, and tactics to Putnam`s fixed income clients. He joined Putnam in 1997 and has been in the investment industry since 1991. Prior to joining Putnam, Mr. Horner was a Fixed Income Information Analyst at Wellington Management from 1994 to 1997 and a Marketing and Client Service Representative at The Vanguard Group from 1991 to 1994. Mr. Horner earned a B.A. from Furman University. | ||
Sriketan Mahanti | Portfolio Manager | 2012 | 2024 |
Биография | Mr. Mahanti is a Portfolio Manager in the Fixed Income group. He specializes in agency residential mortgage-backed and asset-backed securities within the Structured Credit team. Mr. Mahanti is a Portfolio Manager of Putnam`s Core Global Fixed Income and Stable Value strategies. He is responsible for constructing portfolios, providing fiduciary oversight, and communicating investment team decisions on policy, strategy, and tactics to fixed income clients. Mr. Mahanti joined Putnam in 2012 and has been in the investment industry since 2000. Previously at Putnam, Mr. Mahanti was an Analyst in the Fixed Income group. Prior to joining Putnam, he was a Vice President, Quantitative Analyst, at Wellington Management from 2010 to 2012 and a Senior Consultant, Quantitative Analyst, Credit Research, at TD Bank in 2010. Earlier, he served as a Co-Founder of Orissa Group from 2007 to 2008, a Vice President, Fixed Income Quantitative Research, at State Street Global Markets from 2003 to 2007, and a Co-Founder of SKG Inc. from 2000 to 2003. Mr. Mahanti earned an M.S. and B.S. in Geology and Geophysics from the Indian Institute of Technology. | ||
D. William Kohli | Executive Vice President | 2004 | 2021 |
Биография | Mr. Kohli is CIO. He is responsible for overall strategy and positioning of Putnam’s fixed income products. In addition, he is a portfolio manager for Putnam's institutional strategies, including the Fixed Income Global Alpha strategies. Mr. Kohli specializes in global rates and currencies and oversees the Portfolio Construction group, which draws on the security-specific expertise of sector specialist teams within Fixed Income. He is also a member of Putnam's Operating Committee. Mr. Kohli joined Putnam in 1994 and has been in the investment industry since 1988. | ||
Raman Srivastava | CIO (Chief Investment Officer) | 2004 | 2012 |
Биография | Raman is Co-Deputy Chief Investment Officer and Managing Director of Global Fixed Income. In conjunction with the CIO, Raman is responsible for overseeing the management of all single and multi-sector active fixed income portfolios. As head of the Global Fixed Income team, Raman oversees all global and non-U.S. fixed income strategies. |
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