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George Curtis

Portfolio Management

George joined TwentyFour in early 2015 as an analyst in the Multi-Sector Bond team. His primary responsibilities involve assisting in the management and day-to-day activities of the team, which manages strategies including the Dynamic Bond Fund and Strategic Income Fund.

Prior to joining TwentyFour, George worked as a Proprietary Futures Trader at Marex Spectron for 3 years. He predominantly focused on generating ideas in rate markets and the management of trades.

George graduated from the University of East Anglia with a degree in Economics.

Latest articles

Companies Unlikely to Underperform in Q2 Earnings

13 July 2020

CreditFinancialsHigh Yield
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Central Bank Liquidity Will Dampen Default Cycle

18 June 2020

EurozoneHigh YieldMarketsUS
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HY Demands Caution Through Riskiest Phase

15 April 2020

BanksHigh Yield
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Margin For Error in Credit Selection Narrows

16 January 2020

CreditFinancialsHigh Yield
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European HY Default Rates Doubling No Reason to Panic

11 December 2019

Central banksHigh YieldMarketsRates
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Slim Premiums a Signal for Caution in High Yield

25 July 2019

Corporate bondsCreditHigh Yield
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