Maria Municchi joined M&G in 2009. She is responsible for the systems and quant models used to manage convertible portfolios. She is also involved in client communications for the M&G Global Convertibles Fund, the M&G Dynamic Allocation Fund and the M&G Income Allocation Fund. Before joining M&G, Maria worked at Barings and UBS Asset Management. She has an MSc in international management and finance and is a CFA charterholder.
Here at the Episode Blog we are always looking to get a sense of how investor emotions might be affecting asset prices, and a recent trip to Italy provided the opportunity to do just that.
In the video below I discuss my reflections on what impact successive financial crises and… Read the article