Paul is a Portfolio Manager on the Emerging Markets Strategy at ClearBridge Investments. He joined the firm in 2013 and has 13 years of investment industry experience.
Paul was a Portfolio Manager, and previously an Investment Analyst, at Martin Currie, which became part of ClearBridge in 2025.
Paul holds a B.Sc. in mathematics and statistics from the University of York. He is a CFA® charterholder.
Experience
- 13 years of investment industry experience
- Joined the firm in 2013
- B.Sc. in mathematics and statistics from the University of York
- CFA® charterholder
Center Heading Related Insights
Related Insights
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A Governance-First Foundation to Sustainability in Emerging Markets
Because ESG standards vary widely by country and company, governance offers a practical foundation for evaluating resilience, stewardship and long-term value creation.
- Date published
- 18 May 2026
- Tag
- Stewardship & Sustainability
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Emerging Markets: Monthly Update April 2026
The Strategy outperformed in a risk-on April, supported by positive stock selection among technology and industrial names in South Korea and Taiwan.
- Date published
- 30 Apr 2026
- Tag
- Emerging Markets
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Emerging Markets: First Quarter 2026 Commentary
We believe short-term retrenchment in emerging markets can lead to a more sustainable return environment and better opportunities for active stock picking.
- Date published
- 31 Mar 2026
- Tag
- Emerging Markets
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Emerging Markets: Monthly Update February 2026
We don’t see emerging markets as specifically exposed to the Iran conflict and it may support the current positive asset allocation moves towards EM amid U.S. dollar uncertainty.
- Date published
- 28 Feb 2026
- Tag
- Emerging Markets