Robert L. Davis, CFA
Mr. Davis is a Portfolio Manager in the Fixed Income group, specializing in developed and emerging-market currencies and rates markets. He is responsible for the analysis of market and macro-economic data, development of quantitative models, and recommendations for global macro- and relative-value positions. In addition, Mr. Davis oversees the Quantitative Modeling team within the Portfolio Construction group. He has been in the investment industry since he joined Putnam in 1999.Download Biography
- Boston College, Carroll School of Management, M.S.F.
- Graduate College of Union University, School of Management, M.B.A.
- Union College, B.A.