The Dean’s Lecture Series presents Jack Malvey of Lehman Brothers, April 16, 2008
Managing Director and the Chief Global Fixed-Income Strategist
Wednesday, April 16, 2008
10:30 AM- 11:15 AM
Shell Auditorium, McNair Hall
Download Flyer (PDF)
A Look at the First Neo-Modern Credit Market Correction through a Historical Lens
Jack Malvey is Chief Global Fixed-Income Strategist, and a managing director at Lehman Brothers. Prior to joining Lehman Brothers as a corporate bond strategist in 1992, he was director of Corporate Bond Research at Kidder, Peabody & Co. and an analyst at Moody’s Investor Services. In addition to holding the Chartered Financial Analyst designation, Mr. Malvey belongs to the Financial Management Association, the New York Society of Security Analysts, the Fixed Income Analysts Society, Inc., and the Society of Quantitative Analysts. He is a former president of the Fixed Income Analysts Society and was inducted into the Fixed Income Analysts Society’s Hall of Fame in 2003.
Mr. Malvey received an A.B. in Economics from Georgetown University and did graduate work in economics at the New School for Social Research in New York. For the past 16 consecutive years, he has been a first-team bond strategist in Institutional Investor magazine’s annual fixed-income research survey. From 1992 to 1996, he was elected to Institutional Investor’s first team for corporate bond strategy. After becoming chief global fixed-income strategist, Mr. Malvey was selected to Institutional Investor’s first team for general fixed-income strategy in 1997. He is also the author of “Global Corporate Bond Portfolio Management,” a required chapter reading for CFA Level III candidates.