Hugh Bleahen runs the CSC Equities product from London. Previously, Hugh ran Knight Capital Groups London operation for four years. Prior to Knight, Hugh worked at Credit Suisse for six years where he started his career sales trading.
Mike has over 30 years’ experience in fixed income markets, covering the full spectrum of debt securities including multi-currency government and Eurobond markets. He spent 10 years at Cazenove & Co on the primary placement and secondary trading desk, and 10 years as a Director at Panmure Gordon & Co. Mike has been with Christopher Street Capital for over 11 years on the secondary market fixed income desk and covers government stocks and Eurobonds along with the domestic preference share, PIBS, and Stock Exchange retail market.
David has 40 years’ experience in the City. He initially worked in the gilt market, based on the London Stock Exchange with Joseph Sebag and J & A Scrimgeour. David then joined Citicorp on its gilt market-making desk as Vice-President, and then spent 5 years at Panmure Gordon as a Director. David joined Christopher Street Capital 11 years ago with Mike Davies, and deals in multi-currency government stocks and Eurobonds.
Chris is responsible for the design and development of Christopher Street Capital’s unique credit to equity research methodology. He has been writing a bi-weekly global equity strategy note based on his insight into the interaction between credit spreads and equity valuations, as well as successfully managing a portfolio of equity recommendations for the past eight years. Before joining Christopher Street Capital, Chris was an analyst of both global equities and credit at Barclays. Chris has a Masters in Economics from St Andrew’s University and is a CFA Charterholder.