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John Espinosa
- Head of Global Fixed Income Research
About John
He was previously the lead emerging markets analyst for Asian fixed income markets, covered corporate debt in the EMEA region and has also managed the organization’s global sovereign, emerging markets debt and municipal finance research teams. John joined the firm in 2004 as a quantitative analyst and associate portfolio manager for the CREF Bond Total Return group. He entered the financial services industry in 2001 and his experience includes a position at Nomura Securities International. He was selected for The Asset Magazine’s “Most Astute Asian G3 Bond Investors” list from 2008 2015, again in 2017 and ranked number one in the U.S. in 2011.
John graduated with a B.B.A. in Economics and International Business from Manhattan College, an M.A. in Economics from Fordham University, and a Certificate in Advanced Risk and Investment Management from the Yale School of Management.