Profil
Mr. Gordon Drobny is an Credit Portfolio Manager at R Squared BM LLC.
Mr. Drobny works with the Head of Credit developing and executing the Firm's non-investment grade strategies and also serves as the Firm's primary high yield trader.
As a member of the Corporate Credit team, Mr. Drobny also works on the development, execution and trading of the Firm’s investment grade corporate strategies.
Mr. Drobny earned a Bachelor of Science with an emphasis in finance from the University of Southern California in 2013
Tidigare kända positioner av Gordon Drobny
| Företag | Position | Slut |
|---|---|---|
R Squared BM LLC
R Squared BM LLC Investment ManagersFinance Ducenta offers a variety of investment strategies that utilize fixed income securities and other instruments. Their general investment strategy is constructed to capitalize on an ever-changing economic cycle that influences appreciation and depreciation in different bond sectors over the cycle. Sector allocation, security selection and yield curve strategies are employed in the process and are intended to add value relative to client benchmarks. The security selection process integrates sector and industry strategy with bottom-up index structure analysis to identify and categorize opportunities. | Portfolio Manager-Fixed Income | 2024-01-04 |
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| Privata företag | 2 |
|---|---|
University of Southern California
University of Southern California Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
R Squared BM LLC
R Squared BM LLC Investment ManagersFinance Ducenta offers a variety of investment strategies that utilize fixed income securities and other instruments. Their general investment strategy is constructed to capitalize on an ever-changing economic cycle that influences appreciation and depreciation in different bond sectors over the cycle. Sector allocation, security selection and yield curve strategies are employed in the process and are intended to add value relative to client benchmarks. The security selection process integrates sector and industry strategy with bottom-up index structure analysis to identify and categorize opportunities. | Finance |
















