Overview: |
| Title: Pursuing alpha and cultivating resilience in fixed income markets |
| Date: Wednesday, November 12, 2025 |
| Time: 2:00 PM Eastern Standard Time |
| Duration: 1 hour |
Register Now: |
| Already Registered? |
Summary: |
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Today’s market environment poses many challenges for global investors as well established relationships unwind and a new economic and political order take hold. With fixed income markets nearly priced for perfection, today’s conversation delves into why that may (or may not) be a fair assessment of future expectations. From Fed policy and consumer and corporate balance sheet strength, to historically attractive yields with historically tight spreads, senior fixed income portfolio managers, Andrzej Skiba and Tim Leary, and institutional fixed income portfolio manager, Anne Greenwood, will share their views on US fixed income and the risks and opportunities they are seeing in markets today. Accepted for 1 CFP / IWI / CFA CE Credit |
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Speakers: |
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Andrzej is head of U.S. Fixed Income on the BlueBay Fixed Income team at RBC Global Asset Management (U.S.) Inc. and is based in the U.S. He assumed this role in 2013, when he moved to the U.S. from London to oversee the buildout of global investment grade capability. This followed a period from 2009, where he was a portfolio manager responsible for corporate investments within BlueBay’s Investment Grade strategies. Prior to joining the organization in 2005 as a credit analyst, Andrzej had worked for an investment bank as a credit analyst covering European investment grade issues in the telecom, media, and utility sectors. He started his career in the investment industry in 2001. Andrzej holds a Bachelor of Science (Honors) in Management and International Business Economics from the University of Manchester Institute of Science and Technology. He is also a CFA® charterholder. |
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Tim is a BlueBay senior portfolio manager on the BlueBay Fixed Income team at RBC Global Asset Management (US) Inc., focused on U.S fixed income. In this role, he manages several global leveraged finance and ESG strategies. Timothy was promoted to his current position in 2021 after working as a portfolio manager for four years and was previously head of Trading, North America, since joining the firm in 2012. Prior to RBC GAM, Tim worked with two major investment banks in the high yield and distressed credit trading and leveraged loan trading domains. He started his career in the investment industry in 2005. Tim holds a BS in Business Administration with Finance concentration from Fordham University, U.S. |
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Anne is an Institutional Portfolio Manager at RBC GAM-US, specializing in U.S. Fixed Income. In this role, she leads efforts to position the firm’s fixed income capabilities with investors and supports U.S. Distribution teams in engaging with clients, consultants, and prospects. Acting as a representative for the investment teams, Anne manages internal and external engagements and serves as the primary contact for strategy-related inquiries and initiatives. Before joining RBC GAM in 2025, Anne was an Investment Director at Wellington Management Company, focusing on Liability-Driven Investing and U.S. Investment Grade Credit. Prior to her tenure at Wellington, Anne held various positions at J.P. Morgan Asset Management (JPMAM) from 2010 to 2022. As Executive Director and Global Credit Investment Specialist, she managed JPMAM’s global credit client relationships. Anne holds an A.B. in Sociology from Princeton University. She is a CFA charterholder and holds FINRA Series 7 and 63 certifications. |
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