Profiel
Ms. Alexandra N.
Ivanova, CFA MBA, is a Fund Manager at Invesco Asset Management Ltd. She has over 23 years of experience.
She began her career with Municrest Investment Management Company in 2001 as a fixed-income quantitative research analyst.
In 2006, she joined Invesco as an investment associate within the Invesco Fixed Income team in the US.
In 2008 she became a fixed-income quantitative research analyst in London.
She subsequently joined the Henley-based Fixed Interest team in July 2015.
She holds an MSc in International Economics from the Yakutsk State University and a BSc in Finance and MBA degrees from the University of Louisville.
She is also a CFA charter holder.
Actieve functies van Alexandra Ivanova
| Bedrijven | Functie | Begin |
|---|---|---|
Invesco Asset Management Ltd.
Invesco Asset Management Ltd. Investment ManagersFinance IAML constructs portfolios based on in-house research which aims to identify the investment opportunities most likely to provide the strongest long-term returns. The firm's UK equity team follows a self-described pragmatic approach with no style bias regarding sectors, stocks or market-cap. Their valuation-orientated approach focuses on absolute returns and risk, allowing the portfolio to capture opportunities over time. In addition to high alpha UK equity, the team also manages small-cap equity and benchmark-relative portfolios. IAML’s fixed-income team manages retail and institutional accounts, combining macro and bottom-up credit analysis to determine investment opportunities. | Portfolio Manager-Fixed Income | 01-07-2015 |
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| Bedrijven in privébezit | 1 |
|---|---|
Invesco Asset Management Ltd.
Invesco Asset Management Ltd. Investment ManagersFinance IAML constructs portfolios based on in-house research which aims to identify the investment opportunities most likely to provide the strongest long-term returns. The firm's UK equity team follows a self-described pragmatic approach with no style bias regarding sectors, stocks or market-cap. Their valuation-orientated approach focuses on absolute returns and risk, allowing the portfolio to capture opportunities over time. In addition to high alpha UK equity, the team also manages small-cap equity and benchmark-relative portfolios. IAML’s fixed-income team manages retail and institutional accounts, combining macro and bottom-up credit analysis to determine investment opportunities. | Finance |
















