The official blog of BNP Paribas Asset Management


Michael Hiney

Portfolio Manager, Structured Securities

Michael Hiney, CFA, is a Portfolio Manager for the Structured Securities team at BNP Paribas Asset Management. He is responsible for generating firm-wide alpha ideas for structured securities with a concentration in Commercial Mortgage-Backed Securities (CMBS).

Prior to his current role, Michael was a Junior Portfolio Manager on the Multi-Strategy Fixed Income team. He assisted portfolio managers in top down asset allocation across the global fixed income market using an array of investment vehicles; cash bonds, credit derivatives, total return swaps, options, structured products and FX. He also assisted portfolio managers in month end rebalancing, portfolio construction and ensured portfolio exposures were expressing the proper macro factors. He was instrumental in the implementation of the asset allocation process and development of the scenario analysis framework.

Michael was also a member of the Sector Rotation team where he focused on tactical asset allocation and relative value trades across global fixed income. In this role, he used a quantitative framework to develop new analytical/statistical models and programs to enhance the automation of the investment process.

Michael has four years of investment experience. He attended the Zicklin School of Business from 2014 to 2016 where he earned an MBA in Finance. Michael earned a BS in Business Administration from Wagner College. He is a CFA Charterholder.


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