Bruno Vignoto

Portfolio Manager, Global Fixed Income And Currency at Mondrian Investment Partners Limited

Bruno Vignoto, CFA, is a Portfolio Manager in the Global Fixed Income and Currency division at Mondrian Investment Partners Limited. Prior to this role, Bruno worked as an Associate Director in Structured Analytics and Valuations at Moody's Analytics. With previous experience as a Fixed Income Specialist at Bloomberg LP and an intern in Credit Risk at Bank of America Merrill Lynch, Bruno has a strong background in finance. Bruno holds a MSc in Risk Management & Financial Engineering from Imperial College Business School and also degrees in Biochemical Research and Biochemistry from Imperial College London.

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Timeline

  • Portfolio Manager, Global Fixed Income And Currency

    October, 2015 - present