Peter Hayden
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Peter Hayden Email & Phone Number

Senior Portfolio Manager at Amundi Asset Management
Location: United Kingdom 5 work roles 3 schools
1 work email found @amundi.com 1 phone found area 778 LinkedIn matched
✓ Verified August 2026 4 data sources Profile completeness 100%

Contact Signals · 1 work email · 1 phone

Work email p****@amundi.com
Direct phone (778) ***-****
LinkedIn Profile matched
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Current company
Role
Senior Portfolio Manager
Location
United Kingdom
Company size

Who is Peter Hayden? Overview

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Quick answer

Peter Hayden is listed as Senior Portfolio Manager at Amundi Asset Management, a with 709 employees, based in United Kingdom. AeroLeads shows a work email signal at amundi.com, phone signal with area code 778, and a matched LinkedIn profile for Peter Hayden.

Peter Hayden previously worked as Portfolio Manager at Amundi Asset Management and Quantitative Analyst at Amundi Asset Management. Peter Hayden holds Master Of Science (Msc), Financial Economics from Cardiff University / Prifysgol Caerdydd.

Company email context

Email format at Amundi Asset Management

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{first}.{last}@amundi.com
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AeroLeads found 1 current-domain work email signal for Peter Hayden. Compare company email patterns before reaching out.

Profile bio

About Peter Hayden

Experienced client-facing Portfolio Manager with Quantitative background and strong programming skills. Broad fixed income expertise with a track record of solid returns in difficult markets. Proven ability to raise assets following team departure with >7x increase in AuM.

Listed skills include Fixed Income, Investments, Asset Management, Bloomberg, and 16 others.

Current workplace

Peter Hayden's current company

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Amundi Asset Management
Amundi Asset Management
Senior Portfolio Manager
United Kingdom
Employees
709
AeroLeads page
5 roles

Peter Hayden work experience

A career timeline built from the work history available for this profile.

Senior Portfolio Manager

Current

London, United Kingdom

- Lead manager of UK based Insurance and Pension mandates - Focus on capital preservation and asset liability matching with an absolute return bias in the investment grade fixed income universe - Client focused business: attending quarterly external client meetings and ad hoc client conference calls covering portfolio performance, economic outlook, market developments - Traditionally Fixed Income client base but increasingly advising on broader asset allocation to diversify income (EM, HY) and add growth (Equity) utilising internal/external and active/passive products.- Co-manager of London credit portfolios and credit overlays for Global Aggregate, Absolute Return and Global Fixed Income processes- Member Global Credit, European Securitised and G10 Fixed Income Committees - monthly strategy meetings which feed main global macro views- Represent Front Office at semi-annual Amundi UK Ltd Board meetings- Member of Employee Shareholders BoardFormer co-manager for Amundi's DGF product (Amundi SIF Diversified Multi-Asset). Closed March 2015 following transfer to new hires/team in Paris. - Target return of 5% pa with an 8% maximum volatility. Universe: currencies, bonds, credit, equities, commodity and hedge funds. - Product awarded the European Innovation award in Multi-Asset and Smart Beta category from aiCIO.

Jan 2012 - Present

Portfolio Manager

London, United Kingdom

- Co-manager (team of 3 PMs) of £5billion of Insurance mandates, both P&C and Life portfolios- Developed Market fixed income, credit and ABS markets- Focus on capital preservation, liquidity and absolute return

Dec 2007 - Jan 2012

Quantitative Analyst

London, United Kingdom

- Front-office development - building and maintaining portfolio monitoring systems and fund management tools using VBA.- Portfolio stress testing and scenario analysis- Producing client reports, including Individual Capital Assessment (ICA) calculations on Lloyd’s of London insurance capital adequacy

Jun 2005 - Dec 2007
Team & coworkers

Colleagues at Amundi Asset Management

Other employees you can reach at pioneerinvestments.com. View company contacts for 709 employees →

3 education records

Peter Hayden education

Master Of Science (Msc), Financial Economics

Dissertation topic: "A Style Analysis of UK Mutual Funds". Assessed funds' performance to their revealed exposures and movements.

Short Course (10 Week), Introduction To Data Analytics And Machine Learning With Python

A foundation in state of the art data analytics and machine learning by leveraging the most widely used Python libraries including Jupyter.

FAQ

Frequently asked questions about Peter Hayden

Quick answers generated from the profile data available on this page.

What company does Peter Hayden work for?

Peter Hayden works for Amundi Asset Management.

What is Peter Hayden's role at Amundi Asset Management?

Peter Hayden is listed as Senior Portfolio Manager at Amundi Asset Management.

What is Peter Hayden's email address?

AeroLeads has found 1 work email signal at @amundi.com for Peter Hayden at Amundi Asset Management.

What is Peter Hayden's phone number?

AeroLeads has found 1 phone signal(s) with area code 778 for Peter Hayden at Amundi Asset Management.

Where is Peter Hayden based?

Peter Hayden is based in United Kingdom while working with Amundi Asset Management.

What companies has Peter Hayden worked for?

Peter Hayden has worked for Amundi Asset Management and Commerzbank Corporates & Markets.

Who are Peter Hayden's colleagues at Amundi Asset Management?

Peter Hayden's colleagues at Amundi Asset Management include Kateřina Adamcová, Sanjay Chauhan, Robert Croasmun, and Ciara Aleno.

How can I contact Peter Hayden?

You can use AeroLeads to view verified contact signals for Peter Hayden at Amundi Asset Management, including work email, phone, and LinkedIn data when available.

What schools did Peter Hayden attend?

Peter Hayden holds Master Of Science (Msc), Financial Economics from Cardiff University / Prifysgol Caerdydd.

What skills is Peter Hayden known for?

Peter Hayden is listed with skills including Fixed Income, Investments, Asset Management, Bloomberg, Portfolio Management, Vba, Derivatives, and Equities.

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