Profil
Mr. Simon G.
Chester is a Vice President & Portfolio Manager at American Century Investment Management (UK) Ltd. He is a portfolio manager on the Global Bond team and is responsible for non-U.S.
credit analysis and security selection.
Before joining the firm in 2010, he was a senior credit analyst at Western Asset Management in London, where he specialized in European credit.
He previously served as a senior fixed income credit analyst with ABN AMRO Bank and a credit rating analyst with NatWest Bank, both in London.
He began his career as corporate manager with First National Bank of South Africa in Johannesburg and has worked in the industry since 1989.
He holds a bachelor's degree in commerce from the University of South Africa.
Postes actifs de Simon Guy Chester
| Sociétés | Poste | Début |
|---|---|---|
American Century Investment Management (UK) Ltd.
American Century Investment Management (UK) Ltd. Investment ManagersFinance American Century UK is an active, team-based manager which invests in equity and fixed-income primarily through fixed-income, disciplined equity, global and non-US equity and asset allocation strategies. The firm's asset allocation team manages multi-asset class portfolios combining stocks, bonds and money market assets, aiming to optimize returns for portfolios targeting specific levels of risk exposure and portfolios managing risk exposure toward a target date. | Analyst-Fixed Income | 24/12/2010 |
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Sociétés liées
| Entreprise privées | 1 |
|---|---|
American Century Investment Management (UK) Ltd.
American Century Investment Management (UK) Ltd. Investment ManagersFinance American Century UK is an active, team-based manager which invests in equity and fixed-income primarily through fixed-income, disciplined equity, global and non-US equity and asset allocation strategies. The firm's asset allocation team manages multi-asset class portfolios combining stocks, bonds and money market assets, aiming to optimize returns for portfolios targeting specific levels of risk exposure and portfolios managing risk exposure toward a target date. | Finance |
















