Ryan joined FGP in 2010 as a credit analyst. He is now Head of Fixed Income and was promoted to Executive Vice President in 2020. Ryan is the lead portfolio manager of FGP’s core plus, corporate bond, and preferred share mandates. He is also a member of FGP’s Investment Committee and the FGP Executive Committee.
Ryan’s career began in 2008 at DBRS where he was a senior financial analyst covering public finance and infrastructure credits.
Ryan is a graduate of Queen’s University (MEcon, BComm), holds the Financial Risk Manager designation, and is a CFA charterholder.