General Investing >> Money Manager Interviews >> June 30, 2017
Balancing Credit Risk and Duration Risk with Higher-Quality Bonds
Peter Duffy, CFA, is Partner and Senior Portfolio Manager at Penn Capital Management Company, Inc. Mr. Duffy is the Portfolio Manager for Penn Capital’s defensive high yield and short-duration strategies and chairs the firm’s Credit Strategy Committee. Earlier, he was a director for Deutsche Asset Management’s global high yield debt team, and his investment experience included both leveraged loans and emerging markets debt. Previously, he worked on mergers and acquisitions at GE Capital and as a management consultant at Arthur Andersen. He received a bachelor’s degree in finance from Villanova University and an MBA from The Wharton School of the University of Pennsylvania. Profile
TWST: Could you please identify yourself?
Mr. Duffy: This is Peter Duffy of Penn Capital. I am a Senior Portfolio Manager, a Partner and the Chair of our Credit