James GalvinPortfolio Manager at Rubrics Asset ManagementSpeaker
Profile
James is a portfolio manager of the Rubrics Global Fixed Income UCITS Fund and Rubrics Emerging Markets Fixed Income UCITS Fund. Since joining the team in 2010, he has been responsible for risk and performance analysis across each of the fund strategies. As a member of the investment team, James is responsible for executing portfolio strategies across a number of funds as well as generating ideas.
In addition, James is responsible for working with key members of the distribution platform with a view to both cultivating new business relationships and managing key existing ones. His positioning as part the investment team ensures he is well placed to communicate with clients on an ongoing basis.
Prior to joining Rubrics, he worked at Rabobank on the Debt Capital Markets team in a risk management capacity and before that spent four and a half years at ABN AMRO in the Fund Derivatives Group where his role involved structuring investment products. James received his bachelor in Business and Economics from Trinity College in Dublin in 2003 and received an MSc in International Securities, Investment and Banking from the ISMA Centre in Reading in 2004.
Agenda Sessions
Navigating unpredictable economic environments: Monetary and fiscal perspectives
, 11:00View Session