MSc (Economics and Finance) (2001), Warwick University, U.K.; BA (Economics), Nottingham Trent University, U.K.; Undergraduate degree (Finance and Insurance), University of the West, Romania.
Mihai is a BlueBay Emerging Markets (EM) senior portfolio manager on the BlueBay Fixed Income team at RBC Global Asset Management (UK) Limited. His primary portfolio management responsibilities include the illiquid strategy covering loans, illiquid instruments, special situations, and distressed. Prior to joining the firm in 2020, he was a founding partner for credit strategies at a private equity firm. Mihai's earlier experiences include heading the EM structuring team across fixed income, currencies and commodities at a U.S. investment banking firm. He started his career in the investment industry at a multinational investment banking company in 2001.