Steven Roth has been portfolio manager of GLG's market neutral hedge fund since November 2005 when he joined from Deutsche Bank's European convertible business.
He takes a top-down and a bottom-up approach when looking at a range of ideas across the credit spectrum: special situations, change of control language and volatility driven ideas to name a few.
His team uses internal systems to screen the market for certain criteria which are then filtered and sorted. This acts as a primary screen and
The week on Risk.net, December 2–8, 2017Receive this by email