Profil
Mr. Jose A. Canepa is a Head of Asset Management at Gulf International Bank (UK) Ltd. He joined the firm 2008 as a Senior Fixed Income Portfolio Manager before becoming Head of Fixed Income in February 2010.
He is the Head of Asset Management since March 2014 and has over 25 years of experience trading fixed income bonds with a specialization in EM and was instrumental in the launch of the Emerging Markets Opportunities Fund (EMOF).
Before joining GIB (UK), he was Head of Sovereign Bond Trading for Eastern Europe, Middle East, Africa, and LatAm at Barclays Capital.
He also worked for six years at Lehman Brothers as Head Trader responsible for managing EM hard currency fixed income securities.
Prior to that, he worked at ING in New York where he was the Global Head of EM Trading, managing the London and New York desks including the Repo operations.
He holds a BS from the Universidad Gabriela Mistral, Santiago, Chile.
Anciens postes connus de Jose Antonio Canepa-Arata
| Sociétés | Poste | Fin |
|---|---|---|
Gulf International Bank (UK) Ltd.
Gulf International Bank (UK) Ltd. Investment ManagersFinance GIB UK’s investment activities generally focus on investments in various kinds of assets and securities in the global developed markets and the emerging markets. Their investment teams actively manage a range of global equities, corporate investment grade and below investment grade fixed income, emerging market debt, structured credit and trade finance. In allocating client assets, the firm may employ several strategies, including active and passive strategies that focus on equities fixed income and trade finance markets in different jurisdictions such as in Europe and other developed markets, as well as various emerging market economies. | Head-Equity Investments | 06/03/2016 |
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| Entreprise privées | 1 |
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Gulf International Bank (UK) Ltd.
Gulf International Bank (UK) Ltd. Investment ManagersFinance GIB UK’s investment activities generally focus on investments in various kinds of assets and securities in the global developed markets and the emerging markets. Their investment teams actively manage a range of global equities, corporate investment grade and below investment grade fixed income, emerging market debt, structured credit and trade finance. In allocating client assets, the firm may employ several strategies, including active and passive strategies that focus on equities fixed income and trade finance markets in different jurisdictions such as in Europe and other developed markets, as well as various emerging market economies. | Finance |
















