Michael McGill



Portfolio Manager, EM Hard Currency


Principales responsabilités

Mike is a portfolio manager for the emerging market external debt portfolios. In addition to covering emerging sovereigns, Mike is responsible for the team’s FX option strategies.

Expérience et diplômes

Prior to assuming his current role, Mike worked as a dedicated EMD trader for Aviva Investors. He previously worked for Bluebay Asset Management as an emerging markets and global macro trader after beginning his career in the investment industry working for them as a repo trader. Michael holds a Bachelor’s degree in Economics from Texas State University.