Coolabah Capital Investments
Kieran D is the Chief Macro Strategist at Coolabah Capital Investments, providing macroeconomic and fixed income analysis for the fund's investment and credit teams. Prior to this role, Kieran held positions such as Chief markets economist at NAB, Principal Advisor at Commonwealth Treasury, Director/Economist at Barclays Investment Bank, Chief Economist at RBS Markets and International Banking, and Chief Economist at ABN AMRO Bank N.V. Kieran has a Master of Economics from The Australian National University and a Bachelor of Economics (Honors) from the University of New England.
Coolabah Capital Investments
Coolabah Capital Investments (CCI) is a leading active credit alpha manager that is responsible for managing numerous institutional mandates, the Smarter Money Investments’ product suite, the Coolabah Active Composite Bond Fund (Hedge Fund) (CXA:FIXD) and the BetaShares Active Australian Hybrid ETF (ASX: HBRD). CCI manages over $8 billion in funds under management. CCI’s edge is in “alpha” generation in liquid, high-grade credit in contrast to traditional fixed-income strategies that drive returns through adding more interest rate duration risk, credit default risk, and/or illiquidity risk (or “beta”). This alpha is a function of the world-class analytical insights rendered by CCI’s human capital, which includes over 38 executives with a long-term track-record of delivering prescient macro and quant insights. In 2019, CCI’s portfolio managers were selected as one of FE fundinfo’s Top 11 “Alpha Managers” based on their risk-adjusted performance across all asset-classes.