John Taylor

John Taylor

Director—Global Multi-Sector

22 Years at AB
23 Years of experience

John Taylor is Director of Global Multi-Sector at AB. He is a member of the Global Fixed Income, UK and European Fixed Income, and Absolute Return portfolio-management teams. As a member of the Absolute Return portfolio-management team, Taylor is also the lead portfolio manager across the Diversified Yield Plus Strategies. Prior to this, he was responsible for the management of single-currency portfolios. Taylor joined the firm in 1999 as a fixed-income trader, and was named in Financial News’s 40 Under 40 Rising Stars in Asset Management in 2012. He holds a BSc (Hons) in economics from the University of Kent. Location: London

Bond Investors May Find Most Rate Pivot Potential in UK, EU
Weakening Growth Outlook to Eventually Favor Euro Rate Risk
Fixed-Income Outlook: Bond Investing in a Fractured World
How Will European Government Bond Markets Navigate the New Era?
Beyond the Brexit Trees, Is There Light in the EU Wood?
How to Keep Your Income Afloat as the ECB Tapers
The QE Tapering Checklist
Are Bond Investors Ready for a World Without QE?
Bond Lessons from Brexit...and Other Cautionary Tales
Investing in Europe Amid Brexit Uncertainty
Are Investors in Europe Stuck in Bonderland?
A Better Bond Blueprint?

The content on this page may include link(s) that will take you out of our website. This is provided for your information and convenience. We are not responsible for the content of any third party's website, including the website(s) you may link to. We are not affiliated with any other website and do not endorse any information contained on any third party's website.

Back to a top