Profile
Mr. Warren Tease was previously employed as Head of Rate Strategies-Australia by UBS Global Asset Management (Australia) Ltd. At UBS, he had responsibility for the development of Australian and global interest rate strategies across Australian composite and diversified fixed income portfolios.
He was also responsible for macro research materials that drives the cyclical component of the Australia strategy framework.
Mr. Tease joined UBS in January 2005 after over three years experience with Morgan Stanley, Hong Kong where he was a senior member of the fixed income and foreign exchange team.
Prior to this, he was Head of Asia Pacific Research at Schroders Australia.
He also had over 11 years experience with the Reserve Bank of Australia, working in senior roles in the Bank’s Economic Group.
Mr. Tease also spent over two years with the Organisation for Economic Co-operation and Development in the Money and Finance Division in Paris.
Mr. Tease graduated from the University of Sydney (Australia), BEc (Hons) and from Kiel Institute of International Economics (Germany).
Former positions of Warren Tease
| Companies | Position | End |
|---|---|---|
UBS Asset Management (Australia) Ltd.
UBS Asset Management (Australia) Ltd. Investment ManagersFinance UBS AM Australia is an active manager which aims to deliver outcome orientated investment solutions for clients, underpinned by a team-based approach and disciplined risk management. The firm combines a disciplined investment philosophy, fundamental research, rigorous risk management and a diversified investment offering to construct portfolios. They offer extensive insight and expertise across traditional, alternative and passive strategies. | Economist | 2015-08-31 |
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| Private companies | 1 |
|---|---|
UBS Asset Management (Australia) Ltd.
UBS Asset Management (Australia) Ltd. Investment ManagersFinance UBS AM Australia is an active manager which aims to deliver outcome orientated investment solutions for clients, underpinned by a team-based approach and disciplined risk management. The firm combines a disciplined investment philosophy, fundamental research, rigorous risk management and a diversified investment offering to construct portfolios. They offer extensive insight and expertise across traditional, alternative and passive strategies. | Finance |
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