Franklin Templeton Investments
Christopher Morgan has a diverse work experience in the financial industry. Christopher started their career at Bankers Trust Company as a Portfolio Administrator, where they were responsible for trade flow and settlement for over 85 pension plans. Christopher then moved to Advisers Capital Management, where they worked as an Assistant Portfolio Manager and was involved in various aspects of the marketing and investment process. During this time, they also constructed one of the industry's first investment management web pages. Later, they joined AllianceBernstein as a Vice President in Institutional Sales & Client Service. In this role, they marketed and cross-sold the firm's equity and fixed income products to institutional public plan sponsors and investment consultants in several states. Christopher'slast position was at Franklin Templeton, where they served as a Relationship Manager/Senior Vice President. Here, they had relationship management responsibilities for various clients and covered products such as international/global fixed income and emerging market fixed income.
Christopher Morgan attended Canterbury School from 1984 to 1988. From 1988 to 1992, they studied History at St. Bonaventure University and obtained a BA degree.
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Franklin Templeton Investments
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Franklin Resources, along with its subsidiaries, operates as Franklin Templeton Investments. It is a global investment management company that provides investment management and related services to retail, institutional and high net-worth clients in jurisdictions around the world. The Company offers its investment products and services under the Franklin, Templeton, Franklin Mutual Series, Franklin Bissett, Fiduciary Trust, Darby, Balanced Equity Management, K2 and LibertyShares brand names. Its products include investment funds and institutional, high net-worth and separately managed accounts (collectively, sponsored investment products (SIPs)). It offers various types of SIPs, such as the United States funds, cross-border funds, local/regional funds, and other managed accounts, alternative investment products and trusts. Its investment funds include the United States-registered funds, non-United States-registered funds and unregistered funds.