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Mayank Markanday, CFA

Senior Investment Manager
Mayank is a co-portfolio manager for the Multi-Asset Blended Range, Diversified Real Assets Fund, Monthly High Income Fund, Strategic Bond Fund and Diversified Global Income Fund. He is a lead manager on AXA Investplus Equity and Bond Satellite funds distributed in Belgium.

He has sector research coverage for UK fixed income, securitised credit, convertible bonds and macro/multi-asset. He is a member of the Architas Tactical Asset Allocation Committee.

He most recently spent 10 years at Russell Investments, responsible for the Russell Real Assets Fund, Deputy on the flagship Russell Multi-Asset Growth Fund and had research coverage for global equities. He also has experience in LDI portfolio management for Russell’s Fiduciary clients.

Mayank has a BComm (Hons) in Finance and Actuarial Studies from the UNSW Business School, Sydney. He is a CFA Charterholder.


Insights from Solomon and Mayank


Liquidity matters

Article | Investments | 12/09/2019

Liquidity, or the ease of buying and selling an investment, has been at the centre of one of the big stories of recent months. 


Markets unimpressed by US interest rate cut

So far this year, markets have been driven by expectations of interest rate cuts and the progress of the US/China trade war.


Stocks on the up

Article | Investments | 24/07/2019

June was a positive month across the majority of asset classes, with investors taking confidence from the US Federal Reserve (Fed) hinting at lower interest rates.

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