European Fixed Income
European Fixed income investments can form an essential part of portfolio planning, providing stability, income and the potential for capital growth.
The European Fixed Income team in London, is part of the wider fixed income team based in Madrid. The London team focuses on Euro Flexible Strategic and Corporate Bond Strategies. The team uses a combination of top down macro views along with bottom up stock selection to build robust portfolios, paying close attention to risk limits at all times.
The investment team has a clear, flexible and consistent process, in which risk management is ingrained across all areas. They are part of a broader UK investment team, built around meeting the needs of our different client groups.
The Fund Managers are supported by a team of in-house analysts who provide fundamental company research. Key elements of our process are the sharing and testing of ideas among the team.
Divya Manek - Head of European Fixed Income
Our European Fixed Income team is managed by Divya Manek. Before joining Santander Asset Management in August 2014, she spent seven years at Schroders working on flagship EUR and GBP credit mutual funds and managed segregated mandates for institutional clients. She obtained a first-class engineering degree from the University of Mumbai in 2006, graduated top of her class at Cass Business School in 2007, holds the IMC and is a CFA Charter holder.