Profil
Mr. Lyndon Man, CFA, is a Fund Manager at Invesco Asset Management Ltd. He is co-lead of Invesco Global Investment Grade Credit and Invesco Euro Bond funds as well as a number of other actively managed strategies.
He is also key contributor to asset allocation decisions for European and UK investment grade credit across the IFI platform.
He joined Invesco in 2011.
Between 2005 and 2011, he was the Government of Singapore Investment Corporation (GIC), where he managed multi-asset and fixed income portfolios, specialising in relative value in derivatives, both linear and option-related, as well as traditional asset allocation strategies.
He started his career at Barclays Capital as a market risk manager in fixed income and emerging markets in 2001.
He earned a BA degree, with honours, in Physical Science and a Master's in Chemistry from the University of Oxford.
He is a CFA charterholder.
Postes actifs de Lyndon Man
| Sociétés | Poste | Début |
|---|---|---|
Invesco Asset Management Ltd.
Invesco Asset Management Ltd. Investment ManagersFinance IAML constructs portfolios based on in-house research which aims to identify the investment opportunities most likely to provide the strongest long-term returns. The firm's UK equity team follows a self-described pragmatic approach with no style bias regarding sectors, stocks or market-cap. Their valuation-orientated approach focuses on absolute returns and risk, allowing the portfolio to capture opportunities over time. In addition to high alpha UK equity, the team also manages small-cap equity and benchmark-relative portfolios. IAML’s fixed-income team manages retail and institutional accounts, combining macro and bottom-up credit analysis to determine investment opportunities. | Head-Fixed Income Invts | 01/01/2020 |
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| Entreprise privées | 1 |
|---|---|
Invesco Asset Management Ltd.
Invesco Asset Management Ltd. Investment ManagersFinance IAML constructs portfolios based on in-house research which aims to identify the investment opportunities most likely to provide the strongest long-term returns. The firm's UK equity team follows a self-described pragmatic approach with no style bias regarding sectors, stocks or market-cap. Their valuation-orientated approach focuses on absolute returns and risk, allowing the portfolio to capture opportunities over time. In addition to high alpha UK equity, the team also manages small-cap equity and benchmark-relative portfolios. IAML’s fixed-income team manages retail and institutional accounts, combining macro and bottom-up credit analysis to determine investment opportunities. | Finance |
















