Arjun Vij
Member of the Global Fixed Income, Currency and Commodities
Hong Kong
Arjun Vij, CFA, vice president, is a member of the Global Fixed Income, Currency & Commodities (GFICC) group. Based in Hong Kong, he is a portfolio manager on the Global Aggregate Strategies team and manages the J.P. Morgan Bond Fund. He is also responsible for managing multi-sector bond portfolios for Asian institutional clients, and customized credit portfolios for private clients. Previously, while based in London, he structured liability-aware portfolios for European insurance companies, and while based in Columbus, Ohio, he assisted in managing customized credit portfolios for US-based pension plans. Arjun obtained a B.A. in economics from the University of Chicago, is a CFA charterholder and holds the Investment Management Certificate from the UK society of Investment Professionals.
Funds Managed
- JPMorgan Global Bond (acc) - RMB (hedged)
- JPMorgan Global Bond (mth) - AUD (hedged)
- JPMorgan Global Bond (mth) - CAD (hedged)
- JPMorgan Global Bond (mth) - HKD
- JPMorgan Global Bond (mth) - NZD (hedged)
- JPMorgan Global Bond (mth) - RMB (hedged)
- JPMorgan Global Bond (mth) - USD
- JPMorgan Global Bond (san) - USD
- JPMorgan Global Investment Grade Bond (acc) – USD