Carl Sells

Portfolio Manager, Active Fixed Income , Active Fixed Income

Carl Sells

Carl is responsible for portfolio management of active fixed income funds in Global High Yield. Carl joined LGIM in 2015 as a credit trader with responsibility primarily for its high yield execution before transitioning to portfolio management in April 2020. Prior to LGIM Carl worked at AllianceBernstein as a senior trader for the European office, trading for the fixed income team across sovereign, investment grade and high yield debt markets, building close relationships with market counterparts and fixed income systems providers. Carl become a trusted market commentator and regularly attended industry events and joined panel discussions on fixed income market developments and liquidity with regard to trading fixed income. Prior to that, Carl has worked at Capital Group and Ashmore within the asset management business as well as Credit Suisse and UBS on the investment bank side. Carl graduated from the University of Hull with a BA in management systems in 1994.

Other articles by Carl Sells

Why we believe default rates will be lower this cycle
Carl Sells
Markets and economics

Why we believe default rates will be lower this cycle

In the Global Financial Crisis the default rate neared 10%. There are two good reasons why we don...
By Carl Sells
24 Nov 2022
3 min read

Authors from the same team (38)

Jonathan Constable

Jonathan Constable

Jonathan joined LGIM as a senior credit analyst in October 2013 with lead responsibility for the...
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Marc Rovers

Marc Rovers

Marc is head of the euro credit portfolio management team. He joined LGIM in May 2012 as a...
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John S. Gray, CA CFA

John S. Gray, CA CFA

John is Senior Portfolio Manager, Emerging Markets within LGIM's Global Fixed Income team. John...
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