Harry has managed the Multi-Asset Credit strategy since inception in 2012, and developed the framework behind the strategy. His responsibilities include asset allocation, idea generation, maintaining banking and investor relationships. He is also a member of the European Liquid Loans and Bonds Investment Committee.
Between 2005 and 2010 Harry was a credit analyst at ICG, covering chemicals, industrials, and paper / packaging.
Prior to joining ICG, Harry spent three years at PRICOA Capital Group as an analyst in their European private placement debt business.
Harry has a degree in Economics from the University of Cambridge, and is a CFA Charterholder.