Rob Fawn

Rob Fawn

Portfolio Manager-Fixed Income at PGIM Ltd.

Profile

Mr. Robert D.
Fawn is a Principal & Portfolio Manager in the European Leveraged Finance Team at PGIM Ltd.
Mr. Fawn is responsible for managing high yield bonds and bank loans across multiple mandates.
He manages the European investments in PGIM Fixed Income’s Credit Opportunities strategy, and is also responsible for managing the European Leveraged Finance sleeves within the Global High Yield and Multi Sector portfolios.
Previously, Mr. Fawn was a credit analyst in the European Leveraged Finance Credit Research Team where he covered the chemicals, food, metals & mining and paper & packaging sectors.
Prior to joining the Firm in 2017, he spent 12 years at Citigroup, as a credit analyst on their European High Yield Credit Trading desk, having also spent 6 years in M&A.
Mr. Fawn received a Bachelor of Science in Business Administration from The University of Bath.

Rob Fawn active positions

CompaniesPositionStart
Portfolio Manager-Fixed Income 01/01/2017
All active positions of Rob Fawn

Experiences
Positions held

Active

Inactive

Listed companies

Private companies

See the detail of Rob Fawn's experience

Connections

31

1st degree connections

1

1st degree companies

Male

Female

Members of the board

Executives

See the personal network

Linked companies

Private companies1

Finance

See company connections