Profile
John F.
Bailey currently works at Aegon USA Investment Management LLC, as Portfolio Manager from 2018.
Mr. Bailey also formerly worked at The Bank of Nova Scotia, as Principal, AEGON U.S.A. Investment Management, Inc., as Portfolio Manager from 2000 to 2001, and American National Bank & Trust (Texas), as Principal.
Mr. Bailey received his undergraduate degree and Masters Business Admin degree from the University of Iowa.
John F. Bailey active positions
| Companies | Position | Start |
|---|---|---|
Aegon USA Investment Management LLC
Aegon USA Investment Management LLC Investment ManagersFinance Aegon AM US provides active management of portfolios that invest primarily in fixed income assets classes, but also may utilize equities, loans, and derivatives. The investment process for most of the firm's fundamental fixed income investment strategies combines top-down macroeconomic outlooks with bottom-up credit research in a procedure overlaid with risk monitoring and risk management. This disciplined process emphasizes consistent research and analysis of fundamentals, sentiment and positioning, technical, and valuation. | Portfolio Manager-Fixed Income | 01/01/2018 |
Former positions of John F. Bailey
| Companies | Position | End |
|---|---|---|
AEGON U.S.A. Investment Management, Inc.
AEGON U.S.A. Investment Management, Inc. Investment ManagersFinance AEGON investments are comprised primarily of bonds, with remaining assets invested in commercial mortgage loans, alternative investments and equities. The firm seeks to identify unrecognized growth potential in markets and individual stocks through a combination of active top-down and bottom-up analysis. Their investment process employs fundamentally driven research that is supported by quantitative analysis which results in the screening and ranking of markets and stocks and consistent implementation across portfolios. Though not limited by sector, the firm tends to invest in the stocks of small-cap and mid-cap companies in the finance, utilities, technology services and non-energy minerals sectors. AEGON maintains a low turnover rate. | Portfolio Manager-Fixed Income | 31/05/2001 |
| THE BANK OF NOVA SCOTIA | Corporate Officer/Principal | - |
American National Bank & Trust (Texas)
American National Bank & Trust (Texas) Major BanksFinance Operates as a national bank | Corporate Officer/Principal | - |
Training of John F. Bailey
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 | 5 |
|---|---|
The Bank of Nova Scotia
The Bank of Nova Scotia Major BanksFinance Provides personal, commercial, corporate & investment banking, wealth management and capital markets services | Finance |
AEGON U.S.A. Investment Management, Inc.
AEGON U.S.A. Investment Management, Inc. Investment ManagersFinance AEGON investments are comprised primarily of bonds, with remaining assets invested in commercial mortgage loans, alternative investments and equities. The firm seeks to identify unrecognized growth potential in markets and individual stocks through a combination of active top-down and bottom-up analysis. Their investment process employs fundamentally driven research that is supported by quantitative analysis which results in the screening and ranking of markets and stocks and consistent implementation across portfolios. Though not limited by sector, the firm tends to invest in the stocks of small-cap and mid-cap companies in the finance, utilities, technology services and non-energy minerals sectors. AEGON maintains a low turnover rate. | Finance |
American National Bank & Trust (Texas)
American National Bank & Trust (Texas) Major BanksFinance Operates as a national bank | Finance |
University of Iowa
University of Iowa Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Aegon USA Investment Management LLC
Aegon USA Investment Management LLC Investment ManagersFinance Aegon AM US provides active management of portfolios that invest primarily in fixed income assets classes, but also may utilize equities, loans, and derivatives. The investment process for most of the firm's fundamental fixed income investment strategies combines top-down macroeconomic outlooks with bottom-up credit research in a procedure overlaid with risk monitoring and risk management. This disciplined process emphasizes consistent research and analysis of fundamentals, sentiment and positioning, technical, and valuation. | Finance |
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