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Biography |
Grant is Co-Head of Emerging Market Sovereign & FX at Ninety One. He is co portfolio manager on our Emerging Market Blended Debt Strategies and also and also contributes to regional analytical research as well as Top-Down asset allocation research.
Prior to joining the firm, Grant worked in London as a portfolio manager at RWC Partners, responsible for global macro and convertible bond funds. Prior to this, Grant also spent a year working as an investment analyst for Ninety One in Cape Town in 2006.
Grant holds a Bachelor of Business Science (Hons) degree from the University of Cape Town and a Master’s degree with distinction in Finance from London Business School, concentrating on investments and quantitative finance. He is a CFA® Charterholder and qualified as an Associate of the Institute of Actuaries (AIA, designation currently not held). |
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Biography |
Peter is Co-Head of Fixed Income at Ninety One. He has portfolio management responsibility for a range of global fixed income portfolios including Emerging Markets Blended Debt, Flexible Bond and Diversified Income strategies. He also contributes to the team’s top-down asset allocation research complementing the team with his global macro experience.
Prior to joining Ninety One, he spent eight years as an interest rate derivative trader at Goldman Sachs in London, with responsibility for managing European interest rate swap books.
Peter holds a Bachelor of Commerce (Hons) from the University of Cape Town, and a Master of Science degree in Finance from the London Business School. He is also a Chartered Accountant (SA) and a CFA® Charterholder. |