Profile
Ms. Galia Velimukhametova is a Senior Investment Manager at Pictet Asset Management Ltd. She is responsible for the Distressed Debt and Special Situations team within Total Return Fixed Income.
Ms. Velimukhametova was a Distressed Debt Portfolio Manager at Man GLG from 2008 to 2018, focusing on European stressed high yield corporates and distressed debt credit, managing a fund close to EUR 1bn assets at the time of her leaving.
Previously, she was a Managing Director, Partner and Member of the Investment Committee responsible for investment selection and portfolio composition at King Street Capital, Europe.
She also spent time as a Debt/Equity and Capital Structure Arbitrage Trader at JP Morgan.
She holds an MBA from Washington University in Saint-Louis, Missouri, and a Honours Degree in Economics from Moscow State University.
Galia Velimukhametova active positions
| Companies | Position | Start |
|---|---|---|
Pictet Asset Management Ltd.
Pictet Asset Management Ltd. Investment ManagersFinance Pictet AM actively manages a wide range of equity, fixed income and multi asset strategies including total return. The firm aims to provide long-term return potential with diversified risk. Their disciplined two-stage investment process blends top-down evaluation of the global environment with bottom-up sector and individual issuer analysis. | Portfolio Manager-Fixed Income | 01/02/2019 |
Former positions of Galia Velimukhametova
| Companies | Position | End |
|---|---|---|
GLG Partners LP
GLG Partners LP Investment ManagersFinance GLG conducts their own analyses and may also use the analyses and certain models of its affiliates as well as third parties. They use many sources of information in their analyses of financial instruments which may be obtained from their affiliates or third parties. In addition, the firm may employ third-party consultants to provide it with fundamental and technical research, including, but not limited to, information regarding various markets, industries and companies. GLG also utilizes a number of investment strategies in connection with its advisory and sub-advisory services depending upon the type and stated investment objectives of each client. | Portfolio Manager-Fixed Income | 05/11/2018 |
King Street (Europe) LLP
King Street (Europe) LLP Investment ManagersFinance King Street Europe seeks to generate strong risk-adjusted results for their clients throughout any market environment. The firm conducts bottom-up research with a focus on rigorous downside analysis. They focus on opportunities spanning asset classes, sectors and geographies where they believe they have an edge through their research-intensive approach, combined with extensive trading and sourcing capabilities. | President | 05/05/2008 |
Experiences
Positions held
Active
Inactive
Listed companies
Private companies
Connections
1st degree connections
1st degree companies
Male
Female
Members of the board
Executives
Linked companies
| Private companies | 3 |
|---|---|
GLG Partners LP
GLG Partners LP Investment ManagersFinance GLG conducts their own analyses and may also use the analyses and certain models of its affiliates as well as third parties. They use many sources of information in their analyses of financial instruments which may be obtained from their affiliates or third parties. In addition, the firm may employ third-party consultants to provide it with fundamental and technical research, including, but not limited to, information regarding various markets, industries and companies. GLG also utilizes a number of investment strategies in connection with its advisory and sub-advisory services depending upon the type and stated investment objectives of each client. | Finance |
Pictet Asset Management Ltd.
Pictet Asset Management Ltd. Investment ManagersFinance Pictet AM actively manages a wide range of equity, fixed income and multi asset strategies including total return. The firm aims to provide long-term return potential with diversified risk. Their disciplined two-stage investment process blends top-down evaluation of the global environment with bottom-up sector and individual issuer analysis. | Finance |
King Street (Europe) LLP
King Street (Europe) LLP Investment ManagersFinance King Street Europe seeks to generate strong risk-adjusted results for their clients throughout any market environment. The firm conducts bottom-up research with a focus on rigorous downside analysis. They focus on opportunities spanning asset classes, sectors and geographies where they believe they have an edge through their research-intensive approach, combined with extensive trading and sourcing capabilities. | Finance |
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