Read the Article: US High-Yield 2022 Outlook: Supply Likely to Ease but Remain Robust
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Authors
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Jeffrey Rosenkranz is a Portfolio Manager forย the Shelton Tactical Credit Fund and the Firmโs fixed income separately managed accounts.ย Jeffrey has over 23 years of experience investing in the credit markets, with an emphasis in high yield, distressed debt and special situations. Prior to joining Shelton Capital, he worked at Cedar Ridge Partners, LLC, Cooperstown Capital Management, Durham Asset Management, Ernst & Young LLP and The Delaware Bay Company. He earned an MBA from the Stern School of Business at New York University and received a B.A. from Duke University.
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Peter Higgins has over 25 years of experience in fixed income investing, most notably as Partner and Lead Portfolio Manager at both Ares Management and BlueBay Asset Management. Previously, Peter specialized in global leveraged finance at investment banks such as Deutsche Bank AG, Goldman Sachs & Co. and Credit Suisse in both London, England, and New York City. Peter earned a bachelorโs degree in Economics-Political Science from Columbia University.
