Profil
Andrew B. J.
Chorlton worked as the Head of US Multi-Sector Fixed Income at Schroder Investment Management North America, Inc. from 2015 to 2020.
Prior to that, he was a Portfolio Manager at STW Fixed Income Management from 2010 to 2013.
He also worked as a Senior Fixed Income Manager at AXA Investment Managers US, Inc. and as a Portfolio Manager at Citigroup Asset Management (United States).
Mr. Chorlton received his undergraduate degree from the University of Birmingham in 1997.
Tidigare kända positioner av Andy Chorlton
| Företag | Position | Slut |
|---|---|---|
Schroder Investment Management North America, Inc.
Schroder Investment Management North America, Inc. Investment ManagersFinance SIMNA manages assets for domestic and foreign clients in strategies focusing on US equity and US fixed income securities, including US tax-exempt securities. The firm also markets strategies focusing on non-US equity and fixed income securities, as well as multi asset, quantitative and alternative strategies. | Head-Fixed Income Invts | 2020-10-01 |
STW Fixed Income Management
STW Fixed Income Management Investment ManagersFinance STW Fixed Income Management employs a value-oriented investment approach. The firm invests only in investment-grade bonds. Their investment strategy is based on the idea that undervalued bonds will outperform overvalued bonds. STW only purchases bonds they believe to be undervalued. When the bonds become fully priced, they are exchanged for better-valued issues. STW does not employ overweighting, underweighting, closet indexing, market-timing or currency speculation. | Portfolio Manager-Fixed Income | 2013-03-31 |
Citigroup Asset Management (United States)
Citigroup Asset Management (United States) Investment ManagersFinance Profile Unavailabl | Portföljförvaltare-Aktier | - |
AXA Investment Managers US, Inc.
AXA Investment Managers US, Inc. Investment ManagersFinance AXA IM-US is an active, long-term, global, multi-asset manager that aims to help them preserve and grow their client’s wealth. The firm’s investment philosophy is predicated upon the idea that long-term returns are built through the compounding of income earned over time and the avoidance of principal losses. Their investment process consists of three major components centered on assessing, valuing and managing risk. AXA IM-US aims to balance bottom-up (idiosyncratic) and top-down (systemic and market-related) risks against return opportunities. Their integrated investment process utilizes both quantitative and qualitative processes to construct portfolios. | Företagsledare/Principal | - |
Andy Chorltons utbildningar
Erfarenheter
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Företag kopplade till första graden
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Kvinna
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Kopplade företag
| Privata företag | 5 |
|---|---|
Schroder Investment Management North America, Inc.
Schroder Investment Management North America, Inc. Investment ManagersFinance SIMNA manages assets for domestic and foreign clients in strategies focusing on US equity and US fixed income securities, including US tax-exempt securities. The firm also markets strategies focusing on non-US equity and fixed income securities, as well as multi asset, quantitative and alternative strategies. | Finance |
STW Fixed Income Management
STW Fixed Income Management Investment ManagersFinance STW Fixed Income Management employs a value-oriented investment approach. The firm invests only in investment-grade bonds. Their investment strategy is based on the idea that undervalued bonds will outperform overvalued bonds. STW only purchases bonds they believe to be undervalued. When the bonds become fully priced, they are exchanged for better-valued issues. STW does not employ overweighting, underweighting, closet indexing, market-timing or currency speculation. | Finance |
University of Birmingham
University of Birmingham Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
AXA Investment Managers US, Inc.
AXA Investment Managers US, Inc. Investment ManagersFinance AXA IM-US is an active, long-term, global, multi-asset manager that aims to help them preserve and grow their client’s wealth. The firm’s investment philosophy is predicated upon the idea that long-term returns are built through the compounding of income earned over time and the avoidance of principal losses. Their investment process consists of three major components centered on assessing, valuing and managing risk. AXA IM-US aims to balance bottom-up (idiosyncratic) and top-down (systemic and market-related) risks against return opportunities. Their integrated investment process utilizes both quantitative and qualitative processes to construct portfolios. | Finance |
Citigroup Asset Management (United States)
Citigroup Asset Management (United States) Investment ManagersFinance Profile Unavailabl | Finance |
















