Back to Authors

Gordon Shannon

Portfolio Manager

Gordon joined TwentyFour in 2015 as a Portfolio Manager in the Outcome and Index Driven team. He has over 12 years of experience in fixed income. Gordon’s main responsibility is management of the firm’s Corporate Bond and Absolute Return Credit funds. Gordon is also a member of the firms ESG steering group.

Before joining TwentyFour, Gordon was a portfolio manager at Ignis Asset Management, helping to run £14bn of retail, institutional and insurance portfolios on the firm’s credit desk. Gordon worked at Ignis for 8 years, initially as an investment analyst where he covered, utilities, telecoms and insurance before joining the portfolio management team to run several euro and sterling corporate bond mandates. While at Ignis Gordon became a CFA charter holder.

Prior to this Gordon worked as a Pensions Consultant at Watson Wyatt for two years, after graduating from Cambridge University in 2005 with a degree in Economics.

Latest articles


BoE Buying Dampens Volatility in GBP Credit

18 September 2020

BrexitCentral banksMarkets
Read more

Starved of Income

7 August 2020

Central banksCorporate bondsHigh Yield
Read more

Did Treasuries Know Something Equities Didn’t?

24 April 2020

EurozoneUS
Read more

Primary Bond Markets Escape Lockdown

9 April 2020

BanksCreditMarkets
Read more

Has National Grid Put Itself on The Blackout List?

6 September 2019

Corporate bondsESGMarkets
Read more

The Comeback of Corporate Hybrids

3 October 2018

Corporate bondsHigh Yield
Read more