Phil Yuhn

Portfolio Manager, Man GLG
Man Institute Contributor

Phil Yuhn is a Portfolio Manager on the Emerging Markets Debt team.

Prior to joining Man GLG, he worked as a portfolio manager at American Century Investments. Prior to this, he was a senior portfolio manager at HSBC Asset Management from 2009-2015. Prior to HSBC, Phil worked three years in the Emerging Markets Debt Strategy group at Lehman Brothers from 2005-2008.

He has been working in the industry since 2005 and holds an MBA from the University of Chicago Booth School of Business. He received a BS and an MEng from Cornell University.

 

Source and Copyright: Citywire. Phil Yuhn is + rated by Citywire for his rolling 3 year risk-adjusted performance, for the period 01 June 2021 to 31 May 2024.