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Nome | Título | Desde | Até |
---|---|---|---|
John Zhang | Portfolio Manager | 2025 | Agora |
Biografia | Mr. Zhang, Portfolio Manager, joined Voya IM in 2022. He is a portfolio manager with the Agency Mortgage-Backed Securities team at Voya IM. Prior to joining Voya, he worked as an analyst at Blackrock, and later as a portfolio analyst at Invesco. | ||
Justin McWhorter | Portfolio Manager | 2009 | Agora |
Biografia | Justin McWhorter is a senior portfolio manager at Voya Investment Management. For most of his investment career, he has specialized in agency mortgage-backed securities and collateralized mortgage obligations. Currently, Justin manages several mortgage-only funds, in addition to the agency mortgage sleeves of multi-sector fixed income products for Voya. Current and previous areas of focus include mortgage derivatives, agency debentures, mortgage repurchase agreements, dollar rolls, and the mortgage financing desk. Justin earned both an MA and a BS from the University of Georgia. He is a CFA® Charterholder and Certified Public Accountant. | ||
Jeff Dutra | Trader | 2009 | 2025 |
Biografia | Jeff Dutra is a senior portfolio manager at Voya Investment Management, primarily responsible for the mortgage-backed securities/collateralized mortgage obligation portfolios. Previously at Voya, Jeff ran the operations and accounting groups at the firm, responsible for financial derivatives and mortgage derivatives. Jeff earned an MBA from the University of Tampa and a BA in mathematics from the University of South Florida. He is a CFA® Charterholder. | ||
Peter Guan | Trader | 2009 | 2019 |
Biografia | Peter Guan is the head of the mortgage derivatives group at Voya Investment Management, which manages a suite of mortgage derivatives products for affiliated and external clients. Prior to joining Voya, Peter worked at Citi Alternative Investment group, where he managed a portfolio of mortgage products while designing a platform and strategy for a mortgage hedge fund. Prior to that, he worked at the Clinton Group, a New York-based hedge fund, in research, trading and portfolio management, including mortgage derivatives and other mortgage products. Peter earned a PhD in mathematics from the University of South Florida, an MS in computational finance from Carnegie Mellon University and a BA in mathematics from Ocean University of China. | ||
Denis P. Jamison | Senior Vice President | 1981 | 2010 |
Biografia | Jamison has been senior vice president with Lexington Management Company since 1981. Previously, he spent nine years at Arnold Bernhard & Company, an investment counseling and financial services organization, where he was a vice president supervising the security analyst staff and managing investment portfolios. Jamison holds the Chartered Financial Analyst designation and is a member of the New York Society of Security Analysts. | ||
Roseann G. McCarthy | Assistant Vice President, Portfolio Manager | 1999 | 2005 |
Biografia | McCarthy is assistant vice president and portfolio manager with Lexington Management, her employer since 1990. She has seven years of investment experience. |
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