中国核准合格境内机构投资者专用

Daniel Siluk

投资组合经理

Daniel Siluk is a Portfolio Manager at Kapstream Capital, a subsidiary of Janus Henderson Investors, which acquired Kapstream in 2015. He is responsible for co-managing the Absolute Return Income and Absolute Return Income Plus strategies. Prior to joining Kapstream in 2009, he served as manager of investment analytics at Challenger, a position he held from 2007 to 2009. While there, he provided attribution and risk metrics for the firm’s internal funds management business as well as their boutique partnerships, which included Kapstream. Before Challenger, he spent four years in London, where he implemented and tested attribution and risk systems for Insight Investment, the funds management arm of Halifax Bank of Scotland, and Northern Trust.

Daniel received a bachelor of applied finance degree from Macquarie University. He has 18 years of financial industry experience.

撰写文章

在日趋不明朗的市场环境中应审慎行事 (英文版)
Features & Outlooks

在日趋不明朗的市场环境中应审慎行事 (英文版)

由于通胀加速使政策失误的风险增加,债券投资者应审慎行事。

进一步迈向政策紧缩,但附带警告

进一步迈向政策紧缩,但附带警告

切勿把联储局的加息决定视为明确无疑的鹰派立场。

货币政策与债券投资如何达致平衡

货币政策与债券投资如何达致平衡

Portfolio Managers Jason England and Dan Siluk explain that inflation expectations and their influence on monetary policy will go a long way in dictating the way forward for global bond markets.