Perfil
Mr. Bill A. Green, CFA, is a Portfolio Manager at Claren Road Asset Management LLC.
Prior to joining Claren Road Asset Management in 2006, Mr. Green worked at Nomura Corporate Research & Asset Management as a Vice President.
He received his Bachelor of Commerce from the University College Cork.
Antiguos cargos conocidos de Bill A. Green.
| Empresas | Cargo | Fin |
|---|---|---|
Claren Road Asset Management LLC
Claren Road Asset Management LLC Investment ManagersFinance Claren Road utilizes long/short credit, event-driven, and capital structure arbitrage strategies primarily in the following global and regional markets: investment grade; high yield and distressed; high grade corporate debt securities and their derivatives; Emerging Markets; Asia; European sovereigns and their derivatives; and US municipal bonds. Their funds primarily invest in debt instruments, within the confines of strict risk control procedures aimed at preserving capital. The firm employs a fundamental, research-driven value strategy, with special emphasis given to issuer asset quality, liquidity, and security-specific bond covenants and claim seniority. | Portfolio Manager-Fixed Income | - |
Formación de Bill A. Green.
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Empresas relacionadas
| Empresas privadas | 2 |
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University College Cork
University College Cork Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Claren Road Asset Management LLC
Claren Road Asset Management LLC Investment ManagersFinance Claren Road utilizes long/short credit, event-driven, and capital structure arbitrage strategies primarily in the following global and regional markets: investment grade; high yield and distressed; high grade corporate debt securities and their derivatives; Emerging Markets; Asia; European sovereigns and their derivatives; and US municipal bonds. Their funds primarily invest in debt instruments, within the confines of strict risk control procedures aimed at preserving capital. The firm employs a fundamental, research-driven value strategy, with special emphasis given to issuer asset quality, liquidity, and security-specific bond covenants and claim seniority. | Finance |
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