Meet Gary


Gary Kirk

Partner, Portfolio Management

33 years investment experience


TwentyFour Asset Management LLP

8th Floor, The Monument Building, 11 Monument Street

EC3R 8AF London

United Kingdom

Gary Kirk is one of the founding partners of TwentyFour Asset Management, and a Portfolio Manager.

He sits on the firm’s Investment Committee, which sets the overall risk bias for the portfolios managed by the firm. Gary’s main responsibility is managing the firm’s Multi-Sector Bond team and corresponding funds.

Gary has over 32 years of experience in fixed income markets gained across a variety of senior roles in asset management and investment banking, including leadership positions at Daiwa Capital, Royal Bank of Canada, CDC and Wachovia Bank.

Related perspectives

TwentyFour Blog

Barclays Boosts Case for Bank Bonds Over Equity

Barclays announced its results for the third quarter of 2020 this morning, with a number of media outlets opting to focus on a 6% year-on-year reduction in top-line income. But looking in more detail, in our view this was a solid set of numbers from the UK bank, a timely reminder of how robust the major banks have proven to be this year and how well they have managed their way through the current crisis.

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