John Ryan

European Portfolio Manager

John Ryan

John is European Portfolio Manager in the Global High Yield team and manages LGIM's developed market high yield ESG portfolios. John was formerly a Senior Credit Analyst covering the global commodity sector. He joined LGIM in 2005 after graduating from Imperial College, London with a first class honours degree in Mathematics. John also holds the IMC qualification.

Other articles by John Ryan

Global high yield – ain’t no mountain (or wall) high enough
Fixed income

Global high yield – ain’t no mountain (or wall) high enough

We believe the current environment remains favourable for high yield bonds. Worries over upcoming...
By John RyanSophia Hunt
07 May 2024
3 min read
High yield: the ugly duckling of the fixed income universe?
John Ryan
Fixed income

High yield: the ugly duckling of the fixed income universe?

Most of us are familiar with Hans Christian Andersen's classic fairy tale about an unloved,...
By John Ryan
17 Nov 2023
3 min read
What’s in a name?
John Ryan
Investment strategy

What’s in a name?

European high yield bonds might be junk in name, but we believe there are hidden treasures in thi...
By John Ryan
09 Aug 2023
3 min read

Authors from the same team (40)

Sophia Hunt

Sophia Hunt

Sophia has worked in the finance industry for over 10 years and is a Fixed Income Investment...
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Marc Rovers

Marc Rovers

Marc is head of the euro credit portfolio management team. He joined LGIM in May 2012 as a...
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Connor Olvany

Connor Olvany

Connor is a euro credit portfolio manager in the Pan-European Credit team, having joined LGIM in...
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