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European Fixed Income
Why Santander Asset Management for European Fixed Income?
Based in London and Madrid, the European Fixed Income team consists of nine fund managers and analysts managing a range of investment strategies that include government, corporate and strategic bond funds.
The European Fixed Income investment process is clear, flexible and consistent and one in which risk management is ingrained across all areas. The entire process is research-focused and designed to facilitate idea generation through exchange between experienced fund managers and dedicated credit analysts who have specific expertise in both sectors and issuers.
Divya Manek joined Santander Asset Management's Global European Fixed Income team as a Fund Manager for European Bond Strategies, based in London. Before joining in August 2014, she spent seven years at Schroders, working on flagship EUR / GBP mutual funds and managing segregated mandates. She obtained a First Class Engineering degree from the University of Mumbai in 2006, graduated top of her class at Cass Business School in 2007 and became a CFA Charterholder in 2010.
- 5 x Portfolio Managers
- 4 x Credit Analysts