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The Mellon High Quality Corporate Bond Strategies are developed for liability driven investing (LDI). These strategies are designed to provide customizable and consistent beta exposure to the high quality corporate bond universe (which are used to determine statutory liability discount rates), while minimizing the risk from downgrades and defaults. The strategies target two maturity sectors of the curve: the 20 year maturity sector and the 5-20 year maturity sector. By offering multiple funds across the maturity spectrum, each client can customize the exposure to their specific liability profile.
Name | Title | Since | Until |
---|---|---|---|
Paul L. Benson | Managing Director | 2015 | Now |
Biography | Paul Benson is the Managing Director, Head of Fixed Income Portfolio Management at Mellon. Mr. Benson joined Mellon in 2005 and was previously a Senior Portfolio Manager, responsible for the Yield Curve Arbitrage strategy within Global Asset Allocation portfolios. Prior experience includes analyzing and managing U.S. and Global Fixed Income active portfolios as well as market-making and proprietary trading with a focus on interest rate swaps and JPN Government Bonds. Mr. Benson attained the Chartered Financial Analyst (“CFA”) and Chartered Alternative Investment Analyst (“CAIA”) designations. Mr. Benson graduated with a B.A. from the University of Michigan. He has over 21 years of investment experience. | ||
David C. Leduc | executive vice president | 2009 | Now |
Biography | David Leduc, CFA, Mr. Leduc is an executive vice president and Chief Investment Officer, Head of Fixed Income at Mellon and is responsible for overseeing fixed income investment management activities of Mellon. He has been employed by Mellon or a predecessor company since 1995, and by BNYM Investment Adviser since 2005. David joined Standish Mellon Asset Management Company LLC in 1995 as a portfolio manager and analyst for US domestic fixed income, moving from structured finance to global strategies in 1999. Prior to joining Standish, David spent seven years as an Investment Officer at State Street. He has an M.B.A. from Boston University and a B.S. from the University of Rhode Island. David holds the CFA® designation and has been in investment industry since 1987. David's activities with not-for-profit organizations include serving as senior representative for BNY Mellon Trust Company in its role as Corporate Trustee of the W. K. Kellogg Foundation Trust. |
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