Peter Dohnal Email & Phone Number
@russellinvestments.com
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Who is Peter Dohnal? Overview
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Peter Dohnal is listed as Director, Senior Portfolio Manager, Fixed Income at Russell Investments, a with 1931 employees, based in London Area, United Kingdom. AeroLeads shows a work email signal at russellinvestments.com and a matched LinkedIn profile for Peter Dohnal.
Peter Dohnal previously worked as Senior Portfolio Manager, Fixed Income at Russell Investments and Portfolio Manager, Fixed Income at Russell Investments. Peter Dohnal holds Honours Bba, Finance, General from Wilfrid Laurier University.
Email format at Russell Investments
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About Peter Dohnal
Financial professional with over 10 years of experience in portfolio management, performance analytics, market data analysis, credit analysis and money markets. Holds an Honours Bachelor of Business Administration and CFA designation while also a graduate from the Canadian Securities Institute.
Listed skills include Bloomberg, Money Market, Capital Markets, Fixed Income, and 12 others.
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Peter Dohnal work experience
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Senior Portfolio Manager, Fixed Income
Portfolio Manager, Fixed Income
Portfolio Manager
Lead portfolio manager on a line-up of multi-strategy funds and Canadian equity portfolios totalling about $1.4B in assets.
Associate Portfolio Manager
Work directly with the Senior Director to manage the Canadian suite of portfolios. This involves varying levels of responsibilities across 20 different fixed income and multi-asset funds which encompass approximately $8.5B in AUM.
Senior Portfolio Analyst
Supports the overall strategy development and portfolio construction process of Russell's Fixed Income and Multi-Asset portfolios. Assist the portfolio manager with the formulating and implementation of market views into our portfolios. Serve as the internal subject matter expect for the Fixed Income and Multi-Asset portfolios by responding to queries from internal business units and participating in client facing opportunities.
Portfolio Analyst
Support the portfolio manager for both Fixed Income and Multi-Asset portfolios by analyzing and providing input on the day to day fund management. Support the portfolio management process and undertake analysis of potential changes in fund structures. Assist with the creation of internal and external communications and respond to portfolio queries from the various business units.
Associate Director, Fixed Income
Assisted with the management of $4B in client money market assets across seven separately managed portfolios including both Canadian and US dollar investments. Responsible for monitoring issuer exposure levels, term buckets and portfolio performance. Prepared detailed credits reports on eleven corporate issuers for both the money market and bond portfolios.
Risk Control Analyst, Risk Control Operations
Administered the daily mark-to-market procedure which required verifying pricing sources and maintaining and updating curves, securities and reports. Evaluated the performance of several of the Province's discretionary portfolios.
Money Market & Foreign Exchange Trader
Helped manage the Province's $14B liquid reserve portfolio by investing in repos, treasury bills, bank products and short-term government bonds. Conducted short term borrowing through weekly Ontario T-bill auctions and the issuance of US commercial paper.
Risk Control Analyst, Credit Analysis And Ratings Relations
Prepared credit reports on selected counterparties for approval to the Province’s issuers list while monitoring the credit ratings of all approved issuers using S&P, Moody's and DBRS. Worked closely with the three rating agencies during their annual review of the Province’s credit rating.
Colleagues at Russell Investments
Other employees you can reach at russellinvestments.com. View company contacts for 1931 employees →
Candy Wong
Colleague at Russell InvestmentsMississauga, Ontario, Canada
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MC
Mansi Chokshi
Colleague at Russell InvestmentsMumbai, Maharashtra, India
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Silvia Carino
Colleague at Russell InvestmentsLinthicum Heights, Maryland, United States
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Dana Rekow
Colleague at Russell InvestmentsBellevue, Washington, United States
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Max Everitt
Colleague at Russell InvestmentsFredericksburg, Virginia, United States
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Emma Brown
Colleague at Russell InvestmentsGreater Orlando, United States
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SC
Steve Cauble
Colleague at Russell InvestmentsSeattle, Washington, United States
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Phaneendra Yerra
Colleague at Russell InvestmentsUnited States
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JM
Julian May
Colleague at Russell InvestmentsGreater Sydney Area, Australia
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MD
Merveil D.
Colleague at Russell InvestmentsLondon, England, United Kingdom
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Peter Dohnal education
Honours Bba, Finance, General
Chartered Financial Analyst
Canadian Securities Course
Frequently asked questions about Peter Dohnal
Quick answers generated from the profile data available on this page.
What company does Peter Dohnal work for?
Peter Dohnal works for Russell Investments.
What is Peter Dohnal's role at Russell Investments?
Peter Dohnal is listed as Director, Senior Portfolio Manager, Fixed Income at Russell Investments.
What is Peter Dohnal's email address?
AeroLeads has found 1 work email signal at @russellinvestments.com for Peter Dohnal at Russell Investments.
Where is Peter Dohnal based?
Peter Dohnal is based in London Area, United Kingdom while working with Russell Investments.
What companies has Peter Dohnal worked for?
Peter Dohnal has worked for Russell Investments, Ubs Global Asset Management, and Ontario Financing Authority.
Who are Peter Dohnal's colleagues at Russell Investments?
Peter Dohnal's colleagues at Russell Investments include Candy Wong, Mansi Chokshi, Silvia Carino, Dana Rekow, and Max Everitt.
How can I contact Peter Dohnal?
You can use AeroLeads to view verified contact signals for Peter Dohnal at Russell Investments, including work email, phone, and LinkedIn data when available.
What schools did Peter Dohnal attend?
Peter Dohnal holds Honours Bba, Finance, General from Wilfrid Laurier University.
What skills is Peter Dohnal known for?
Peter Dohnal is listed with skills including Bloomberg, Money Market, Capital Markets, Fixed Income, Derivatives, Repos, Credit Analysis, and Investments.
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