TwentyFour Asset Management appoints Head of US Credit

Categories: Uncategorized
Vontobel Asset Management / TwentyFour AM / September 21, 2018
 
TwentyFour, the US$17.9bn London-based fixed income boutique of Vontobel Asset Management, has appointed David Norris in New York as Head of US credit. The firm expects to make further hires in the US during 2019.
 

David Norris joins the firm as Head of US Credit reporting to TwentyFour Asset Management’s CEO, Mark Holman. Previously he was responsible for High Yield Credit Trading at Credit Agricole and held several senior positions in credit trading and alternative investments during his 30-year career. David will be a key member of TwentyFour’s Multi-Sector Bond team, which manages the firm’s US$ 7.0bn Strategic Income and Dynamic Bond funds.

 “We see the US as a key growth market and David’s experience and deep fixed income expertise will be integral as we continue to expand our US footprint,” said Mark Holman, chief executive at TwentyFour.

In addition to David, the firm has hired 3 investment professionals in London to support continued business growth:

  • Charlene Malik joins the Multi-Sector Bonds team
  • Pauline Quirin joins the Asset-Backed Securities team
  • Johnathan Owen joins the Outcome Driven team
 
Link to the pdf version of the press release

Press contact:

Michel Donath
Voxia communication
michel.donath@voxia.ch
+41 43 344 98 48

 

TwentyFour Asset Management
TwentyFour Asset Management specializes in fixed-income investing and is a London-based, independently operating boutique of Vontobel Asset Management. The company has a well-diversified client base in the institutional and fund business. Their robust investment process and highly transparent products generate attractive, risk-adjusted returns, with a strong focus on capital preservation. In addition to offerings for institutional clients in the US, TwentyFour offers their Strategic Income Fund as a sub-advised mutual fund through American Beacon. As at 30 June 2018, the firm employs 25 investment professionals in London and the US.

Vontobel Asset Management
Vontobel Asset Management is an active asset manager with global reach and a multi-boutique approach. Each of our boutiques draws on specialized investment talent, a strong performance culture and robust risk management. We deliver leading-edge solutions for both institutional and private clients. Our commitment to active management empowers us to invest on the basis of our convictions. We deliver value through our diverse and highly specialized teams. Employing around 400 professionals worldwide – including 160 investment specialists – we operate across 13 locations including Switzerland, Europe and the US and create strategies and solutions covering equities, fixed income, multi-asset and alternative investments. The goal of achieving excellent and repeatable performance has been fundamental to our approach since 1988. A strong and stable shareholder structure guarantees our entrepreneurial independence and protects the long-term mindset that guides our decision-making.

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