Profil
Dr. Tatjana B. Greil-Castro is a Global Head of Investments at Muzinich & Co. Ltd. She is also a Portfolio Manager at Muzinich & Co. Inc. She is with over three decades’ corporate credit experience.
Dr. Greil-Castro joined Muzinich in 2007 from Metlife Investments, where she served as an Associate Director of the Higher Return Unit.
Prior to that she worked as a Senior Portfolio Manager in European High Yield for Fortis Investments and as a portfolio manager and credit analyst at Legal & General Investment Management.
She has a Ph.D.
from the London School of Economics, a Masters from the Kiel Institute of World Economics in Germany and an M.Sc/B.S.
in Economics from the University of Vienna.
Postes actifs de Tatjana Greil-Castro
| Sociétés | Poste | Début |
|---|---|---|
Muzinich & Co. Ltd.
Muzinich & Co. Ltd. Investment ManagersFinance Muzinich & Co. is a long-term investor which aims to generate attractive and risk-adjusted returns. The firm manages dynamic portfolios based on both fundamental and relative value considerations. Their funds target income generation and long-term capital appreciation with limited volatility. They conduct their own in-depth, bottom-up research in making investment decisions and look at the strength of a company’s business plan, its management, its history and its viability in different economic environments. In order to minimize or avoid defaults and credit impairments, Muzinich & Co. looks for bonds for which the market is mispricing risk and constantly assesses relative value and dynamically adjusts portfolios as risk-return profiles change. | Head-Fixed Income Invts | 01/03/2026 |
Expériences
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Actives
Inactives
Sociétés cotées
Entreprise privées
Relations
Relations au 1er degré
Entreprises liées au 1er degré
Homme
Femme
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Sociétés liées
| Entreprise privées | 1 |
|---|---|
Muzinich & Co. Ltd.
Muzinich & Co. Ltd. Investment ManagersFinance Muzinich & Co. is a long-term investor which aims to generate attractive and risk-adjusted returns. The firm manages dynamic portfolios based on both fundamental and relative value considerations. Their funds target income generation and long-term capital appreciation with limited volatility. They conduct their own in-depth, bottom-up research in making investment decisions and look at the strength of a company’s business plan, its management, its history and its viability in different economic environments. In order to minimize or avoid defaults and credit impairments, Muzinich & Co. looks for bonds for which the market is mispricing risk and constantly assesses relative value and dynamically adjusts portfolios as risk-return profiles change. | Finance |
















