Gregory Peters

Gregory Peters is a Managing Director and Senior Portfolio Manager of PGIM Fixed Income, responsible for Core, Core Plus, Long Government/Credit, Absolute Return, and other Multi-Sector Fixed Income Strategies. Prior to joining PGIM Fixed Income, Mr. Peters was the Chief Global Cross Asset Strategist at Morgan Stanley and responsible for the Firm’s macro research and asset allocation strategy. In addition, he was Morgan Stanley’s Global Director of Fixed Income & Economic Research and served on the Firm Risk, Investment, Asset Allocation, Global Credit, and Global Fixed Income Operating Committees.

Earlier, Mr. Peters worked at Salomon Smith Barney and the Department of U.S. Treasury. Mr. Peters has been recognized by Institutional Investor magazine for his efforts in macro, fixed income, high yield and investment grade strategies. Mr. Peters was also recently recognized as Business Insider’s Top Analysts and Top Analyst’s to Watch by CEO World. Mr. Peters earned a BA in Finance from The College of New Jersey and an MBA from Fordham University. He is also a member of the Fixed Income Analyst Society and the Bond Market Association.

Disclaimer: The biographical information is as of the date of posting.

Event Name:Fixed Income Investing–Challenges and Opportunities

Event Date:2017-09-28