Investment professional with varied background in fixed income markets. Experienced in trading and managing client assets across US and global rates, corporate credit and structured products.
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Portfolio ManagerDws Group Sep 2011 - PresentFrankfurt Am Main, Hessen, De• Manage a group of portfolios totaling $10bn in fixed income assets, focusing on credit selection, asset allocation and yield curve positioning. Client base includes institutional and central bank accounts. Benchmarks range from Government/Credit to Custom Aggregate • Investment grade credit focus - corporate and structured products. Identify relative value among sectors and issue selection. Monitor technical aspects including flows and new issuance analysis. Includes working with analysts to follow company or collateral fundamental metrics and potential rating changes. • Demonstrated strong performance in portfolios resulting in positive peer reviews from clients and additional funding. • Present clients with updates on portfolio performance, drivers, market commentary, credit positioning and future strategy thoughts. Includes answering questions on views and offering suggestions on how to best enhance returns. • Monitor and interpret economic trends and policies across world markets and determine their potential impact across asset classes. -
Portfolio ManagerBnp Paribas Investment Partners Apr 2007 - Sep 2011Nanterre, Île-De-France, Fr• Global Multi Sector Team - Identify trading opportunities across global rates / credit products and implement into client portfolios, taking into account risk parameters, target exposures and compliance requirements. • Structured Products Team - Analyst focusing on Auto, Credit Card, Home Equity, European RMBS, and CMBS collateral. Develop tools to find trends in performance data, model pricing, predict cash flows and stress testing structures using Intex and ABSNet. -
Fixed Income Specialist, VpCredit Suisse Sep 2003 - Mar 2007Zurich, Ch• Maintain risk analytics for a wide range of fixed income mandates including Core, Core Plus, High Yield, Global, Short Duration and Derivative strategies• Develop performance attribution tools to determine drivers of excess returns across accounts -
Portfolio ComplianceBlackrock Sep 1997 - Aug 2003New York, Ny, Us• Manage group responsible for compliance setup of all new funds, including separate accounts, sub-advised and mutual funds. Develop programming of in house trading system for real time testing and daily reporting to cover guidelines of every fund
Jeff Morton Skills
Jeff Morton Education Details
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Carnegie Mellon UniversityFinance / Engineering / Economics
Frequently Asked Questions about Jeff Morton
What company does Jeff Morton work for?
Jeff Morton works for Dws Group
What is Jeff Morton's role at the current company?
Jeff Morton's current role is Portfolio Manager at Deutsche Asset Management.
What schools did Jeff Morton attend?
Jeff Morton attended Carnegie Mellon University.
What skills is Jeff Morton known for?
Jeff Morton has skills like Fixed Income, Portfolio Management, Investments, Trading, Credit Analysis, Investment Management, Investment Strategies, Asset Backed Securitization.
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