Profil
Mr. Marc K.
Stacey is a Managing Director & Senior Portfolio Manager at BlueBay Asset Management LLP.
He is within the Investment Grade team focusing on non-sovereign debt and specialising in financials.
Marc started at BlueBay in June 2004 as an operations analyst before joining the Investment Grade Debt Team in March 2006 as a trader.
He moved to his current role in January 2011.
As a lead portfolio manager, he has been instrumental in driving the success of the European IG credit strategies as well as the peer-leading performance of the Financial Capital Bond Fund.
Prior to BlueBay, Mr. Stacey spent two years at CSFB focusing on credit derivatives.
He holds a Bachelor of Business Science (Hons) in Economics and Finance from the University of Cape Town, South Africa.
Aktive Positionen von Marc Keith Stacey
| Unternehmen | Position | Beginn |
|---|---|---|
BlueBay Asset Management LLP
BlueBay Asset Management LLP Investment ManagersFinance RBC BlueBay is an active investment manager partnering with clients to deliver optimal outcomes across asset classes. The firm’s investment expertise is characterized by their specialist fixed income credentials, broad-based equity capabilities, integrated ESG approach and impact investing strategies. They have a global perspective with local expertise in their core markets. RBC BlueBay's investment process combines top-down macroeconomic research and bottom-up microeconomic research. | Portfolio Manager-Fixed Income | 01.01.2011 |
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| Private Unternehmen | 1 |
|---|---|
BlueBay Asset Management LLP
BlueBay Asset Management LLP Investment ManagersFinance RBC BlueBay is an active investment manager partnering with clients to deliver optimal outcomes across asset classes. The firm’s investment expertise is characterized by their specialist fixed income credentials, broad-based equity capabilities, integrated ESG approach and impact investing strategies. They have a global perspective with local expertise in their core markets. RBC BlueBay's investment process combines top-down macroeconomic research and bottom-up microeconomic research. | Finance |
















