Biography
Peter Yanulis is a Co-Portfolio Manager for the Emerging Markets Debt Blended Total Return, World Credit Asset, Tactical Credit Asset Opportunities and Credit Dislocation strategies at Loomis, Sayles & Company. In addition, he is a Multi-Asset Credit Strategist for the Alpha Strategies Group, focusing primarily on portfolio construction and risk premia. Peter joined Loomis Sayles in 2015 as a Research Analyst covering emerging markets sovereigns and has 18 years of investment industry experience. He was previously at JP Morgan in several roles, but most recently as a vice president on the emerging markets trading desk. Prior to this, Peter was an analyst in the asset management graduate training program and, before that, an analyst in G-10 interest rate derivatives trading. He began his career as an analyst in FX options trading at State Street Global Markets. Peter earned a BA in economics from Boston University and an MA with honors in international economic policy and management from Columbia University.
Latest Insights by Peter Yanulis
Emerging Markets Debt Blended Total Return Monthly Strategy Update
Straight Talk for Strange Times: Fixed Income Experts Weigh In
About the Alpha Strategies Team
Investors on the Alpha Strategies team