Skip to Content (press ENTER)
North America
Canada
Investor Type
Latin America
Argentina
Brazil
Chile
Colombia
Mexico
Panama
Uruguay
Asia Pacific
Singapore
Investor Type
Taiwan (台灣)
Investor Type
Hong Kong - English
Investor Type
Australia
China (中国)
Investor Type
Hong Kong (香港 – 中文)
Investor Type
Japan (日本)
Investor Type
Korea (한국)
Investor Type
Europe
Austria
Belgium
Denmark
Finland
France
Germany
Ireland
Italy
 
Luxembourg
Netherlands
Norway
Portugal
Spain
Sweden
Investor Type
A view of blue leather chairs along the side of a marble conference room table with a skyline view in the background.

Dr. Brian Mangwiro

Managing Director, Global Sovereign Debt & Currencies

Headshot of Brian Mangwiro smiling at the camera.

London U.K.

Brian Mangwiro is an Investment Manager within the Multi Asset Group, managing the Strategic Bond Fund and co-managing the Global Flexible Allocation Fund. Brian is a member of the of the Strategic Policy Group (SPG), the company’s global macro research and asset allocation committee. He also chairs the Fixed Income & Currency research sub group, and is a member of the Economic and Equity Research sub groups. Brian has worked in the industry since 2006 Prior to joining Barings in 2016, he worked at RBS Global Banking & Markets, where he was a Director on the Global Desk Macro Strategy covering fixed income (sovereigns and credit), currencies, and equities. During his tenure at RBS, Brian also held the roles of VP, G-10 Rates Strategy, VP in RBS asset Management, and Associate in Leverage. Brian holds a PhD in Genetics and an MSc in Biotechnology from the University of East Anglia, and a BSc (Hons) first class in Agricultural Sciences from Africa University, Zimbabwe.