James King
Portfolio Manager
M&G Investments

James joined M&G Investments in 2003 as a fund manager within the Alternative Credit group and is responsible for the ongoing development of our third party ABS portfolio management business. This unit looks after over €6bn in ABS and manages funds and mandates across the risk spectrum from highly liquid AAA only mandates to funds focussed on unrated structured credit investments.

Prior to M&G, James worked for Citigroup, initially in the corporate bank and, latterly, in the alternative investments group as portfolio manager and credit analyst focusing on asset backed securities.

James graduated from Durham University with a degree in Business Economics.