Henry Newell is a seasoned investment professional with extensive experience in risk management and analysis. Currently serving as Vice President - Investment Risk Manager at Neuberger Berman since September 2025, Henry focuses on investment grade credit, global macro, and corporate hybrid strategies. Prior roles include Portfolio Risk Analyst at RBC BlueBay Asset Management, where responsibilities included macro and emerging market credit analysis, and Quantitative Investment Analyst at FQS Capital Partners, which is associated with the ex-Renaissance Technologies family office. Early career experiences involved summer analyst positions at COVALIS CAPITAL within equity long/short hedge fund strategies and AMP Capital focusing on fixed income. Educational credentials include a Bachelor of Science in Physics from Imperial College London, a Master of Science in Financial Engineering from Henley Business School, and a finance and macroeconomics summer course at The London School of Economics and Political Science.
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