Profil
Mr. Ryan A. Ciavarelli, CFA MBA, is a Senior Analyst of Credit Research at Belle Haven Investments LP.
He brings a diverse background spanning multiple research sectors and roles, offering a unique perspective on the municipal bond market.
He rejoined Belle Haven in 2025.
Mr. Ciavarelli started his career in 2005 at Delaware Investments, which later became Macquarie Asset Management.
He started in the institutional sales department before transitioning to the municipal bond team in 2010 as a trader.
In 2015, he moved into the research group.
Mr. Ciavarelli first joined Belle Haven in 2020 as a generalist on the Research Team.
In 2023, he left to lead credit analytics on the trading desk at Morgan Stanley before returning in 2025.
Mr. Ciavarelli holds a bachelor’s degree in marketing from Arizona State University and an MBA from Villanova University.
He is a CFA Charterholder and was a member of the Chartered Alternative Investment Analyst association through May 2025.
Postes actifs de Ryan A. Ciavarelli
| Sociétés | Poste | Début |
|---|---|---|
Belle Haven Investments LP
Belle Haven Investments LP Investment ManagersFinance Belle Haven specializes in building separately managed taxable and tax-exempt fixed income portfolios. Their primary focus is the preservation of clients' principal while striving to deliver compelling risk-adjusted returns. The firm uses an investment approach based on: security selection, diversification, trade execution and credit research in building portfolios. Their Portfolio Management Team actively manages client portfolios in terms of duration and credit to ensure they match the client's chosen investment strategy. Belle Haven looks to position portfolios to capture opportunistic trades. | Analyst-Fixed Income | 01/07/2025 |
Anciens postes connus de Ryan A. Ciavarelli
| Sociétés | Poste | Fin |
|---|---|---|
Belle Haven Investments LP
Belle Haven Investments LP Investment ManagersFinance Belle Haven specializes in building separately managed taxable and tax-exempt fixed income portfolios. Their primary focus is the preservation of clients' principal while striving to deliver compelling risk-adjusted returns. The firm uses an investment approach based on: security selection, diversification, trade execution and credit research in building portfolios. Their Portfolio Management Team actively manages client portfolios in terms of duration and credit to ensure they match the client's chosen investment strategy. Belle Haven looks to position portfolios to capture opportunistic trades. | Analyst-Fixed Income | 01/03/2023 |
Nomura Investment Management Business Trust
Nomura Investment Management Business Trust Investment ManagersFinance MIMBT maintains a flexible strategy designed to conform with various clients’ individual investment objectives. The firm manages separate client-focused equity, debt, and balanced portfolios. They invest in the public equity and debt markets of the US, non-US, and other emerging economies. MIMBT seeks growth-oriented value stocks of small-cap, mid-cap and large-cap companies. The firm selects countries by utilizing a top-down approach and selects stocks using fundamental analysis with a bottom-up approach. | Trading-Fixed Income | - |
Formation de Ryan A. Ciavarelli
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| Entreprise privées | 3 |
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Nomura Investment Management Business Trust
Nomura Investment Management Business Trust Investment ManagersFinance MIMBT maintains a flexible strategy designed to conform with various clients’ individual investment objectives. The firm manages separate client-focused equity, debt, and balanced portfolios. They invest in the public equity and debt markets of the US, non-US, and other emerging economies. MIMBT seeks growth-oriented value stocks of small-cap, mid-cap and large-cap companies. The firm selects countries by utilizing a top-down approach and selects stocks using fundamental analysis with a bottom-up approach. | Finance |
Belle Haven Investments LP
Belle Haven Investments LP Investment ManagersFinance Belle Haven specializes in building separately managed taxable and tax-exempt fixed income portfolios. Their primary focus is the preservation of clients' principal while striving to deliver compelling risk-adjusted returns. The firm uses an investment approach based on: security selection, diversification, trade execution and credit research in building portfolios. Their Portfolio Management Team actively manages client portfolios in terms of duration and credit to ensure they match the client's chosen investment strategy. Belle Haven looks to position portfolios to capture opportunistic trades. | Finance |
Arizona State University
Arizona State University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
















