Mohammed Kazmi

Chief Strategist & Senior Portfolio Manager

Londres, Royaume-Uni

Anglais

Mohammed joined UBP’s Global & Absolute Return fixed income team in November 2015 and is the Chief Strategist of the team, as well as Senior Portfolio Manager. He co-formulates the top-down asset allocation view which is then implemented across portfolios.

He has 15 years of experience within fixed income markets, with prior roles focused on macro strategy within currency and emerging markets. Previously, he spent close to two years working as a Macro Currency Strategist within the Macro Currency Group at Principal Global Investors in London. Before this he was a Cross-Asset Class Emerging Markets Strategist at the Royal Bank of Scotland (RBS) in London for three years.

Mohammed holds a bachelor’s degree in Economics from University College London.

Plus d'articles de Mohammed

24.09.2024

High-income segment of fixed income in favour

The positive view towards fixed income is best expressed through the higher-income segments of the market given robust nominal GDP growth and elevated all-in yields that are still in excess of the historical returns of global equities.

04.04.2024

Marchés obligataires: Un contexte positif pour le crédit

Nous devrions assister à un changement de régime sur les marchés obligataires à l’heure où les banques centrales préparent le terrain pour de potentielles baisses de taux après le plus fort cycle de resserrement observé depuis les années 1970.