I love my role as the Head of ESG and Corporate Sustainability, which allows me to work closely with IR+Mers across the firm.
Before joining IR+M, I worked as an Investment Analyst at a consulting firm. I was interested in deepening my fixed income knowledge and was thrilled to have the chance to join IR+M.
The pandemic’s influence on consumer sectors has been profound. Early on, consumers were stockpiling anything that was a household staple, such as toilet paper and disinfectant.
The muni market is currently characterized by stretched valuations, all-time low yields, robust supply, and uncertainty around credit fundamentals and Congressional support.
I wear many hats at IR+M, which is awesome. I am a Senior Portfolio Manager, people manager, mentor, member of the leadership team, and on the Sustainability Committee.
At IR+M, I’m a Senior Investment Risk Analyst, and a member of the Investment Risk Team. Our team focuses on quantitative research and strategic risk monitoring.
My path to IR+M was a bit unconventional. After graduating from college, I worked as an engineer at a medical device company.
My path to finance wasn’t predestined. My mother, who was a computer programmer, encouraged us to take computer classes in high school.
I was immediately drawn to IR+M’s warm and collegial culture. It’s a special place to work.