Dinesh Pawar
Insurance Bonds Strategy, Twelve Capital
Insurance Bonds Strategy, Twelve Capital
Dinesh Pawar joined Twelve Capital in July 2014. Prior to joining the firm, He was a senior portfolio manager and Head of Alpha Trading at Aviva Investors from 2009 to 2013, managing high alpha and benchmark funds worth GBP2bn, including overseeing credit portfolio trading strategies, trading tactics, hedging and the use of derivatives. In 2008, Pawar served as the Market Risk Manager for Deutsche Bank Financial Markets, covering the bank’s loan book, loan trading, credit origination and global risk syndicate desks. Between 2006 and 2008, he was a director and credit trader at ABN AMRO, where he worked as part of the credit proprietary trading desk. Prior to that, he was a credit trader for the AlphaGen Credit Hedge Fund at Gartmore from 2003 to 2006, and also co-managed the Gartmore High Yield Retail Fund. Pawar holds a BA (Hons) in business finance and an MSc in banking and international finance from Cass Business School in London.