Profil
Mr. Killian E.
Fitzgerald is a Portfolio Manager at Rubrics Asset Management (UK) Ltd. He joined Rubrics in November 2018.
Prior to that, he worked as Head of Fixed Income and Credit Trading at Bank of Ireland in Dublin where he traded credit and fixed income products and managed a portfolio of bonds.
Prior to joining Bank of Ireland, he was employed at Lloyds Bank in London as a Credit Trader focusing on CDS indices.
Before that he spent over five years at JP Morgan in London as both a Credit Trader in the Credit Flow business on the CDS index desk and on the proprietary trading desk covering a range of credit products.
He received his BA in Mathematics from Trinity College Dublin and received an MSc in Financial Mathematics from Heriot-Watt University and University of Edinburgh.
Tidigare kända positioner av Killian Fitzgerald
| Företag | Position | Slut |
|---|---|---|
Rubrics Asset Management (UK) Ltd.
Rubrics Asset Management (UK) Ltd. Investment ManagersFinance Rubrics UK offers a range of diversified and actively managed portfolios that aim to capture a variety of risk profiles and return generators. They believe the changing interest rate environment has introduced several key risks for investors that necessitate a more actively managed approach. Therefore, their portfolios are not constrained by benchmarks, so the investment team can focus on market areas that offer the most attractive, risk-adjusted returns. The firm uses several strategies based on a focused, multi-factor, risk budgeting process, targeting performance and risk management across multiple market conditions. | Portföljförvaltare-Aktier | 2024-03-01 |
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|---|---|
Rubrics Asset Management (UK) Ltd.
Rubrics Asset Management (UK) Ltd. Investment ManagersFinance Rubrics UK offers a range of diversified and actively managed portfolios that aim to capture a variety of risk profiles and return generators. They believe the changing interest rate environment has introduced several key risks for investors that necessitate a more actively managed approach. Therefore, their portfolios are not constrained by benchmarks, so the investment team can focus on market areas that offer the most attractive, risk-adjusted returns. The firm uses several strategies based on a focused, multi-factor, risk budgeting process, targeting performance and risk management across multiple market conditions. | Finance |
















