Peter Schuld

Peter Schuld

Portfolio Manager International Bonds

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location of Peter SchuldLondon, England, United Kingdom

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  • Timeline

  • About me

    Portfolio Manager at Legal & General

  • Education

    • Udacity

      2020 - 2021
      Nanodegree Program® Data Scientist

      The Data Scientist Nanodegree program is an advanced program designed to prepare students for Data Scientist jobs.

    • Johann Wolfgang Goethe-Universität Frankfurt am Main

      1993 - 1997
      Master's degree Economics and Finance

      Courses in Economics, Finance and Business Administration. Master’s Thesis 'Credit View Theory of Monetary Transmission'.

    • Universität Dortmund

      1990 - 1992
      Bachelor's degree Business Administration, Business Law, Economics
  • Experience

    • Nomura Asset Management

      Sept 1997 - Mar 2000
      Portfolio Manager International Bonds

      Management of € 0.7 billion in fixed income mutual funds and institutional accounts. Reporting to senior management level at semi annual investment policy meetings. Head of a team of one junior fund managers and one research assistant. Research responsibility for the German, British, Japanese and US government bond markets and Japanese convertible bond market. Development of econometric currency forecasting models. Management of international fixed income funds, currency overlay funds and tax optimised money market funds. Marketing presentations and Investment Policy Meetings in Germany and Japan. 1998 Manager of the 3rd best performing DM money market fund in Germany (Journal FINANZEN) Show less

    • Deka Investment

      Apr 2000 - Jan 2012
      Head of High Yield and Convertible Bonds

      Performance responsibility for € 1.4 billion under management in fixed income mutual funds and institutional accounts.. As an analyst primarily responsible for the European high yield market. Team head of one credit research analyst and one junior portfolio manager (convertible bonds). Reporting to senior management level.

    • Legal & General

      Feb 2012 - now
      Senior Portfolio Manager (Global High Yield Bonds)

      Responsible for portfolio construction of GBP 1.6 billion under management in unit trusts and institutional pension accounts. Reporting to head of high yield. Daily contact to research analysts in London, Chicago and Hong Kong.

  • Licenses & Certifications

    • Quantum Mechanics for Scientists and Engineers (Online)

      Stanford University School of Engineering
      Apr 2018
      View certificate certificate
    • »Managing Technology & Innovation: How to deal with disruptive change« MicroMasters® RWTH Aachen

      RWTH Business School
      Mar 2019
      View certificate certificate
    • FCA controlled functions CF30

      Financial Conduct Authority
      Feb 2012
    • Financial Risk Manager (FRM®)

      Global Association of Risk Professionals (GARP)
      Nov 2002
    • »Mathematics for Machine Learning« Specialization Imperial College London

      Coursera Course Certificates
      Sept 2018
      View certificate certificate
    • Data Analyst Nanodegree

      Udacity
      Mar 2020
      View certificate certificate
    • »Computational Thinking using Python« XSeries® program

      Massachusetts Institute of Technology | edX
      Dec 2019
      View certificate certificate
    • »Data Science« MicroMasters® UC San Diego

      University of California San Diego
      Sept 2019
      View certificate certificate
    • Entrepreneurship 4: Financing and Profitability

      Wharton Online
      Jan 2019
      View certificate certificate
    • Deep Learning Specialization

      Coursera
      Apr 2021
      View certificate certificate