Hear a dynamic discussion among Fixed Income industry leaders and how they are navigating the uncertain interest rate climate, US and European election surprises, a cautious Federal Reserve and interest rate policies, uncertainty in global security, fund flows related to the active vs. passive debate, and so much more.
David Germany, Ph.D., Director of Fixed Income Strategy, Wells Capital Management
David Germany serves as the director of fixed income strategy at Wells Capital Management. David joined WellsCap from Evergreen Investments, where he was chief investment officer since 2008. Prior to this, David spent more than 21 years with Morgan Stanley Investment Management and predecessor organizations, most recently serving as global head and chief investment officer for the firm's fixed income business. Prior to joining Morgan Stanley, David served as the senior staff economist for international finance at the President's Council of Economic Advisers, as an economist at the Board of Governors of the Federal Reserve System and as an assistant professor of economics at Princeton University. He earned a bachelor’s degree in economics from Princeton and a doctoral degree in economics from the Massachusetts Institute of Technology.
David Loevinger, Managing Director, Emerging Markets Sovereign Research, TCW
David Loevinger is a sovereign analyst in TCW's Emerging Markets group, covering the Asian region. Prior to joining TCW in 2012, Mr. Loevinger was the U.S. Department of Treasury’s Senior Coordinator for China Affairs and the U.S.-China Strategic and Economic Dialogue. While at Treasury, he also served as minister counselor for financial affairs at the U.S. embassy in Beijing and Deputy Assistant Secretary for Latin America, Asia, Africa and the Middle East. Mr. Loevinger was previously an economist for the International Monetary Fund and also worked in the office of the IMF’s U.S. executive director. He started his career in the Office of the U.S. Trade Representative, the Senate Banking Committee, and the U.S. Commerce Department. Mr. Loevinger earned a BA in Government and Economics from Dartmouth College and a Masters in Public Policy from Harvard University’s Kennedy School of Government.
Diane Vazza, Managing Director, Global Head of Fixed Income Research, S & P Global
Diane Vazza is the Global Head of Fixed Income Research at S&P Global and chairs the firm’s Ratings Performance Governance Council. Her analyses, forecasts and research on global credit markets have earned her an international audience. Diane began her Wall Street journey by surviving Chase Bank’s two-year credit training program. Her career spans banking, capital markets, regulatory, trading, and credit research at Chase, Drexel Burnham Lambert and Citibank. Credit Magazine named Diane one of the top 50 women across the globe in credit and fixed income. She has traveled to over 100 countries. She is past President of the Fixed Income Analysts’ Society (FIASI), Chaired FIASI’s Inaugural 2015 Women in Fixed Income Conference (WiFI-New York) and 2016 WiFI -Boston Conference, and currently sits on FIASI’s Board of Directors. Diane is a certified Emergency Medical Technician (EMT) and volunteers for Emergency Medical Services (EMS) 911 rescue squad. Diane holds a BA degree in both Classics (Latin and Ancient Greek) and French from College of the Holy Cross.
Christopher J. Molumphy, CFA, Executive Vice President, Chief Investment Officer, Franklin Templeton Fixed Income Group
Christopher J. Molumphy is executive vice president and chief investment officer of Franklin Templeton Fixed Income Group, a global fixed income platform that includes the Municipal, High Yield, Investment Grade, Global, Money Market and Floating Rate groups. Mr. Molumphy is a portfolio manager for a number of institutional separate accounts and funds, including Franklin Strategic Income Fund, Franklin High Income Fund and Franklin Total Return Fund. Mr. Molumphy is also a member of Franklin Resources' executive committee, a nine-member group responsible for shaping the company's overall strategy. In addition, he serves on the firm's management and investment committees, including the Fixed Income Policy Committee (FIPC). Mr. Molumphy joined Franklin Templeton Investments as an analyst in 1988 and has served as a portfolio manager since 1991. Prior to assuming his current role in 2000, he served as director of Franklin's high yield corporate bond department since 1994. Mr. Molumphy earned his bachelor's degree in economics from Stanford University and an M.B.A. in finance from the University of Chicago Graduate School of Business. He is a Chartered Financial Analyst (CFA) Charterholder, as well as a member of the Security Analysts of San Francisco (SASF), the CFA Institute, the Stanford Institute for Economic Policy Research (SIEPR), and the San Francisco Bond Club.
Tuesday, June 6th, 2017
3:00pm - 5:00pm - Panel Discussion
5:00pm - 6:00pm - Cocktail Reception
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