Faisal Ali Email and Phone Number
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Faisal Ali is a Senior Portfolio Manager at Azimut (DIFC) Limited. He possess expertise in fixed income, emerging markets, portfolio management, investments, financial modeling and 7 more skills.
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Senior Portfolio ManagerAzimut (Difc) LimitedUnited Arab Emirates -
Senior Portfolio ManagerAzimut (Difc) Limited Jan 2019 - PresentDubai , Difc, AeLead Portfolio Manager – Hired to oversee Middle East’s largest bond fund with AUM of approximately USD1bn. Fund has local and hard currency exposure to sovereign and corporate debt from issuers based in MENA, South Asia and South East Asia (Ticker: AZMGAAU LX) • Fund generated returns of 8.2% in 2019 and 4.3% in 2020 - 3rd in peer group• Fund has the lowest volatility among peer group (360-days, 162-week)• Took part in marketing effort which lead to near quadrupling of AUM -
Head Of Fixed IncomeMashreq Capital Sep 2016 - Sep 2018• Responsible for setting investment and operating strategy for the firms fixed income department which manages $1bn in AUM • Lead portfolio manager for firm’s award winning flagship $75mn global Sukuk bond fund. - Under my management, fund has generated 4% return - outperforming the next best fund in key competitor group by c.85bps (October 2016 – December 2017) -Fund returned 4.6% in 2017, achieving first position among ten in key competitor group• Lead portfolio manager – Global credit mandate: Responsible for managing Mashreq Bank’s $150mn (100mn cash/50mn CDS) absolute return global credit mandate. -Fund generated net PNL of $5.8mn in 2017 – 116% of 2017 target and 2.4x 2016 PNL• Implemented an investment strategy which enabled all private funds to meet or exceed client return targets for 2017• Involved in sales and marketing pitches which resulted in AUM growth of $25mn -
Portfolio Manager - Barings Emerging Market Corporate Debt FundBaring Asset Management Aug 2011 - Jul 2016Charlotte, North Carolina, Us• Fund has outperformed benchmark by 300bps from beginning of 2013 to end of June 2016• For the three year period ending in 2015, fund has achieved number one ranking among eleven key competitor funds managed by rivals such as Bluebay, Ashmore and Aberdeen • The fund’s active strategy has generated 16% gross return from inception (end of October 2012- end June 2016). Annualized returns for the period stands at 4.1 %• Fund has generated 10% gross returns in first six months of 2016- 200bps ahead of benchmark. Fund is ranked second among eleven key competitors in 2016• Fund active strategy has generated 2.5% gross return in 2015, approximately120bps ahead of benchmark. For the year, fund was ranked second among eleven key competitors • Fund’s active strategy generated 3.8% gross return in 2014 which placed the fund sixth among ten key competitors.• Fund’s active strategy generated flat return in 2013, outperforming the benchmark by approximately 40bps. For the year, the fund was ranked third out of eleven. -
Portfolio Manager - Emerging MarketsObservatory Capital Management Mar 2010 - Jun 2011London, GbManaged emerging market portfolio of Observatory Capital, an $800mn European High Yield credit fund. • Given sole responsibility for running $200mn EM credit book comprising of cash and cds trades across Asia Ex-Japan, Middle East and Eastern Europe. Expanded book by $100mn• Generated 8% returns in 2H10 in the six months in charge of the book. Book was flat in 1H11 -
Vice President - Emerging Markets, Fixed Income DivisionCredit Suisse May 2006 - Sep 2009Zurich, ChWorked as the primary cash/CDS credit trader within a three person group mandated to trade emerging markets • Responsible for making trading recommendations and executing local and hard currency corporate and sovereign credit trades originating across different EM regions. Oversaw the expansion of book size from $600mm to $900mm• Assisted with the winding up of illiquid EM credit book after global financial crises in 2008 -
Credit Analyst - Fixed Income DivisionCredit Suisse May 2003 - Jul 2006Zurich, ChAssisted senior research analysts in covering Asian banks and Asian high yield sectors outside Japan. • Provided primary analytical support through financial and valuation analysis and industry research• Participated in the writing of industry and company specific research reports -
Credit Analyst - Fixed Income DivisionUbs Investment Bank Sep 2005 - Dec 2005Zurich, ChCovered Philippine and Indonesian banking sector for the number one ranked fixed income research team in Asia. • Made recommendations based upon financial/relative value analysis of Asian bank bonds
Faisal Ali Skills
Faisal Ali Education Details
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University Of North Carolina At Chapel HillGeneral -
The University Of Texas At AustinEconomics
Frequently Asked Questions about Faisal Ali
What company does Faisal Ali work for?
Faisal Ali works for Azimut (Difc) Limited
What is Faisal Ali's role at the current company?
Faisal Ali's current role is Senior Portfolio Manager.
What is Faisal Ali's email address?
Faisal Ali's email address is fa****@****ngs.com
What schools did Faisal Ali attend?
Faisal Ali attended University Of North Carolina At Chapel Hill, The University Of Texas At Austin.
What skills is Faisal Ali known for?
Faisal Ali has skills like Fixed Income, Emerging Markets, Portfolio Management, Investments, Financial Modeling, Financial Analysis, Finance, Banking, Trading, Valuation, Bonds, Credit Analysis.
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