Authors > John Tobin

John Tobin

John Tobin

Managing Director, Portfolio Manager, and Senior Research Analyst, Epoch Investment Partners

John is a portfolio manager for Epoch’s Global, Non-U.S. and U.S. Equity Shareholder Yield strategies. Prior to joining Epoch in 2012, John taught undergraduate economics as a lecturer at Fordham University. Before that he spent four years at HSBC Global Asset Management as a senior research analyst and almost twenty years at Credit Suisse Asset Management where he was a senior research analyst for the U.S. High Yield Bond team.

Previously he worked at Bankers Trust Company where he began his career. John received AB, AM and PhD degrees in Economics from Fordham University and holds the Chartered Financial Analyst designation.

Read More

Black Swans, Purple Squirrels, and Shareholder Yield

John Tobin, Epoch Investment Partners, discusses issues ranging from capital market assumptions to Brexit...