Matthew Sheridan, CFA

Matthew Sheridan, CFA

Portfolio Manager—Global Multi-Sector

23 Years at AB
24 Years of experience

Matthew Sheridan is a Senior Vice President and Portfolio Manager at AB, primarily focusing on the Global Multi-Sector Strategy portfolios. He is a member of the Global Fixed Income, Global High Income and Emerging Market Debt portfolio-management teams. Additionally, Sheridan is a member of the Rates and Currency Research Review team and the Emerging Market Debt Research Review team. He joined AB in 1998 and previously worked in the firm’s Structured Asset Securities Group. Sheridan holds a BS in finance from Syracuse University. He is a CFA charterholder. Location: New York

Looking Ahead to 2021: Income and Opportunity
Managing Bond Portfolios Through Near-Term Volatility
The Credit Barbell Isn’t Broken. Here’s Why.
How to Balance Your Bond Portfolio in 2020
Why It’s Time for a Barbell Strategy
How Balanced Income Can Help in Today’s Markets
Debt, Downgrades and Fallen Angels: Keeping Risks in Perspective
Three Reasons Why It’s Time for a Barbell Strategy
How to Keep Your Balance in Shaky Bond Markets
When It’s Rocky, Keep Your Bonds Balanced
Why Rising Rates Aren’t a Disaster for Bonds
As Sands Shift, Bond Investors Struggle to Keep Their Footing
How to Keep Your Balance If Volatility Returns in 2018

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