James Lynch, CFA

James Lynch, CFA

Portfolio Manager

Bio

James Lynch, portfolio manager, is a member of the global rates team and is responsible for co-managing the UK government bond, segregated absolute return bond, long government bond and inflation-linked government bond portfolios. He also co-manages a segregated pension mandate of an inflation linked and credit strategy. Prior to his current role, James worked for Morgan Stanley where he was a director in the OTC derivatives department. James has been in the industry since 2005 and started with the firm in 2012. James studied Economics at Stirling University and is a CFA charterholder