Brexit: A Considered Response from the Kames Fixed Income Team
Tuesday, 12th July 2016
Please join this webinar on Kames fixed income teams response to the Brexit vote.
Following the recent UK referendum, in which voters decided to leave the European Union, please join us for a live webinar on what this means for our market outlook and the implications for fixed income investors everywhere.
David Roberts (Head of Fixed Income), Stephen Snowden (Head of Credit) and Juan Valenzuela (Investment manager, Rates) will all be contributing to the webinar.
The discussion will be chaired by Steve Kenny, Director of Wholesale Business at Kames Capital.
Head of Fixed Income
David Roberts is Head of Fixed Income and responsible for managing the fixed income team. In addition, he co-manages several funds including the flagship Kames Strategic Bond Fund, and has responsibility for overseeing cash and derivative management for the majority of Kames Capital’s clients. David joined us in 2004 from Britannic Asset Management where he was Head of Credit. He has 27 years’ industry experience, having worked in the banking sector for a decade before moving into asset management. David studied Economics and Industrial Relations at the University of Strathclyde and has an MSc in Investment Analysis from the University of Stirling
Head of Credit
Stephen Snowden is an investment manager who specialises in investment grade credit and co-manages two investment grade bond funds and an absolute return bond fund. He rejoined Kames Capital in July 2011 from Old Mutual Asset Management where he managed the Corporate Bond Fund. Stephen started his career with us in 1994, initially focusing on equities before moving to the fixed income team to manage corporate bond funds. He has a first class honours degree BSc Finance and an MSc Finance from Queens University Belfast, and is also an associate member of the CFA Society of the UK. He has 22 years’ industry experience
Investment manager, Rates
Juan Valenzuela is an investment manager in the fixed income team with responsibility for analysing global rates markets, both conventional and inflation-linked bonds. He is the co-manager of the Kames Strategic Bond Fund. He joined us from Alliance Trust, where he was an investment manager on the Alliance Trust Dynamic Bond Fund. Prior to that, Juan worked in investment management roles for Scottish Widows Investment Partnership and JP Morgan, and he has 13 years’ investment experience. Juan has degrees in both Law and Business from Carlos III University in Madrid, and is a CFA charterholder.
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