Daniel joined Dynamic Fund’s Fixed Income team in 2009, following his role as an analyst with a boutique asset manager, where he was responsible for risk management and investment portfolio oversight. Promoted to Portfolio Manager in 2012, Daniel’s focus was on credit investing across a variety of mandates. The Credit Research Team was created in 2016, with Daniel appointed its inaugural Head, responsible for fundamental credit research and analysis across the 1832 Asset Management fixed income teams, followed by his promotion to Vice President & Head of Research in 2019.
Prior to joining the industry in 2005, Daniel was a Commonwealth Scholar and earned a Master of Arts in Global Political Economy from the University of Sussex, where his graduate research focused on the risks that credit default swaps and other financial derivatives presented for the global financial system. He also earned a Master of Laws degree from the University of Toronto, with a specialization in Innovation and Technology law.