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