Head of Fixed Income & Credit Managing Director
Michael E. Gray, CFA®, is a Managing Director and the Head of Fixed Income & Credit for J.P. Morgan Private Bank CIO Team, based in New York. He is a member of the Private Bank’s Global Investment Council. Michael is responsible for coordinating the Private Bank CIO Team’s research and strategy efforts across global fixed income markets. In this capacity he works closely with the firm’s Manager Selection, Portfolio Analytics, Investment Strategy, and Risk Management teams to ensure fixed income themes and investment positions held in client portfolios (including credit, interest rate, and currency exposures) are underwritten and implemented using a disciplined, systematic asset class framework.
Michael joined J.P. Morgan in 2015 with more than 24 years of capital markets experience and brings substantial experience in fixed income research and portfolio management to bear for the Private Bank CIO Team and its clients. Previously Michael was a Managing Director and member of the executive leadership team at Hartford Investment Management Company (HIMCO), the institutional asset management subsidiary of The Hartford Financial Services Group. During his tenure he filled several key roles including Global Head of Research, Co-Head of Third Party Portfolio Management, and Head of Investment Strategy. He also served as the Lead Portfolio Manager for over $45 billion of client assets across a range of insurance, retail, and institutional strategies and supervised portfolio teams managing an additional $30 billion. Prior to HIMCO Michael was a Managing Director and the Head of Credit Research at both Credit Suisse Asset Management and Deutsche Asset Management (New York); he also served as the Head of European Credit Research and a senior credit analyst at UBS Warburg Investment Bank in London.
Michael holds a B.A. in English from Tufts University as well as the Chartered Financial Analyst (CFA®), designation from The CFA®, Institute. He is an active member of the New York Society of Security Analysts (NYSSA).
请浏览 FINRA Brokercheck网站以了解更多我们的公司及投资专才。
投资产品: • 不受联邦存款保险公司保障 • 非摩根大通银行或其任何联属机构的存款或其他负债，亦未获摩根大通银行或其任何联属机构的担保 • 存在投资风险，包括可能损失投资的本金
银行存款产品（例如支票、储蓄及银行贷款）及相关服务乃由摩根大通银行（JPMorgan Chase Bank, N.A.）提供。 摩根大通银行是美国联邦存款保险公司的成员。并非借贷承诺。授信额度均须经信贷审批。