2004 -2012 Senior Fund Manager and Head of Fixed Income @ Epworth Investment Management
1996 -2003 Investment Manager @ Aioi Insurance Company of Europe
1987 -1996 Manager @
1986 -1987 Treasury Adviser @ Citicorp
Christopher Wigley Education
Barshen 2014-2014
University of Essex
Chartered Institute For Securities and Investment
Institute of Investment Management and Research
Christopher Wigley Skills
Fixed Income
Portfolio Management
Green Bonds
Bonds
Investments
Security Selection
Asset Allocation
Asset Management
Investment Grade Credit
High Yield
Emerging Markets
ESG Fixed Income
Investment Strategies
Sustainability
Fixed Income Portfolio Management
Strategy
Corporate Governance
Alternative Investments
Risk Management
Credit
Pension Funds
Credit Analysis
Investment Management
Valuation
Economics
Trading
Financial Analysis
Derivatives
Thought Leadership
Sustainable Investment
ESG
Social Bonds
Sustainability Bonds
Covid-19 Response Bonds
Sustainable Bonds
Socially Responsible Investing
Engagement
Swaps
Fund Of Funds
Relative Value Trading
MBS
Options
Charities
Structured Finance
Funding
Bloomberg
Financial Markets
Hedge Funds
Finance
English
Stock Selection
ABS
Ethical Investment
Money Market
Water Sustainability
Environmental Management
Banking
Insurance
Leadership
Financial Modeling
Currency
Christopher Wigley Summary
Christopher Wigley, based in London, GB, is currently a Sustainable Bond Portfolio Manager at Independent. Christopher Wigley brings experience from previous roles at Global Sustainable Fixed Income Ltd (GSFI) , Mirova, Independent Consultant and Epworth Investment Management. Christopher Wigley holds a 2014 - 2014 Barshen. With a robust skill set that includes Fixed Income, Portfolio Management, Green Bonds, Bonds, Investments and more. Christopher Wigley has 1 emails on RocketReach.
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