Profile
Mr. Peter Cuckovic is a Portfolio Manager at Millennium Global Investments Ltd.
He joined Millennium Global in June 2008 and is a member of the High Yield team with responsibility for distressed and special situation investments in Europe.
He has ten years experience in researching high yield and distressed debt securities in Europe.
He was previously a Head of European high yield and distressed debt research at Jefferies in London where he spent over 5 years covering the sector for its institutional and hedge fund clients.
Prior to joining Jefferies, he worked in similar roles at Lehman Brothers and ING in London.
He began his career in 1998 at Banque Paribas as a graduate recruit, working initially in the high yield telecom research department.
Mr. Cuckovic obtained a Master of Business Administration degree from Imperial College Business School in 1997.
He is a native Serbo-Croat speaker and is registered with the Financial Services Authority (FSA).
Former positions of Peter Cuckovic
| Companies | Position | End |
|---|---|---|
Millennium Global Investments Ltd.
Millennium Global Investments Ltd. Investment ManagersFinance MGIL specializes in active currency overlay and alternative investment strategies. The investment strategies pursued by the firm depend on each client's investment mandate and are disclosed in the applicable offering document, investment management agreement or similar agreement with the client, along with an extensive description of the risks associated with such strategies. | Portfolio Manager-Equities | 31/10/2010 |
Jefferies International Ltd. (Old)
Jefferies International Ltd. (Old) Investment ManagersFinance Provides brokerage services | Analyst-Equity | 30/04/2008 |
Experiences
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Private companies
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| Private companies | 2 |
|---|---|
Jefferies International Ltd. (Old)
Jefferies International Ltd. (Old) Investment ManagersFinance Provides brokerage services | Finance |
Millennium Global Investments Ltd.
Millennium Global Investments Ltd. Investment ManagersFinance MGIL specializes in active currency overlay and alternative investment strategies. The investment strategies pursued by the firm depend on each client's investment mandate and are disclosed in the applicable offering document, investment management agreement or similar agreement with the client, along with an extensive description of the risks associated with such strategies. | Finance |
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