Profile
Mr. Brian Gelfand is a Managing Director & Co-Head of Global Credit at Metropolitan West Asset Management LLC.
He began his career as a Client Management/Business Development Associate with Canyon Capital Advisors where he helped manage the firm’s institutional and high net worth client relationships.
Mr. Gelfand holds a BA from the University of Pennsylvania and an MBA from the UCLA Anderson School of Management.
Brian Gelfand active positions
| Companies | Position | Start |
|---|---|---|
Metropolitan West Asset Management LLC
Metropolitan West Asset Management LLC Investment ManagersFinance MWAM is a value investment manager that focuses on preserving capital for their clients, while extracting value utilizing deep, fundamental, bottom-up research and analysis. They employ quantitative research that is driven by a number of powerful and dynamic proprietary models that aid in the analysis of fixed income securities. The firm specializes in traditional fixed income management of low duration, intermediate fixed income and total return portfolios, but they also offer a variety of more focused strategies and products. Their integrated top-down and bottom-up investment process emphasize global and multi-sector diversification to generate attractive risk-adjusted returns from income and capital appreciation. | Portfolio Manager-Fixed Income | - |
Training of Brian Gelfand
Experiences
Positions held
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Private companies
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1st degree connections
1st degree companies
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| Private companies | 3 |
|---|---|
University of Pennsylvania
University of Pennsylvania Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Metropolitan West Asset Management LLC
Metropolitan West Asset Management LLC Investment ManagersFinance MWAM is a value investment manager that focuses on preserving capital for their clients, while extracting value utilizing deep, fundamental, bottom-up research and analysis. They employ quantitative research that is driven by a number of powerful and dynamic proprietary models that aid in the analysis of fixed income securities. The firm specializes in traditional fixed income management of low duration, intermediate fixed income and total return portfolios, but they also offer a variety of more focused strategies and products. Their integrated top-down and bottom-up investment process emphasize global and multi-sector diversification to generate attractive risk-adjusted returns from income and capital appreciation. | Finance |
UCLA Anderson School of Management
UCLA Anderson School of Management Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
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