BlueBay Asset Management
Blair is a Senior Portfolio Manager with the Multi Asset team at BlueBay. He joined BlueBay in August 2013 as an Institutional Portfolio Manager and a member of the Asset Allocation Committee. He became Senior Portfolio Manager in June 2017. Prior to BlueBay, Blair worked for Goldman Sachs Asset Management where he spent six years as a lead portfolio manager in the fixed income team, specialising in emerging market debt and FX. Previously he worked for Barclays Global Investors as well as Aon (now Aon Hewitt), where he was an investment consultant. He holds an MBA from London Business School, a Bachelor of Economics degree from Macquarie University in Sydney and is a Fellow of the Institute of Actuaries.
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BlueBay Asset Management
BlueBay is a specialist fixed income manager uniquely positioned at the convergence point between traditional and alternative asset managers. Headquartered in London with a strong European presence, they invest over US$60 billion for institutional investors and financial institutions across the fixed income on a global scale, from active benchmarked portfolios to alternative strategies and private debt.