Sarah Conwell is a Portfolio Manager at Genoa Asset Management. Ms. Conwell joined Genoa’s predecessor firm in 2019 as a member of the portfolio management team. Sarah focuses on fundamental and technical research across multiple fixed income sectors.
Ms. Conwell’s expertise spans portfolio management, credit analysis, asset-backed securities, and economics. Previously, Ms. Conwell worked for an institutional fixed income manager as an operations analyst, investment research analyst, and associate portfolio manager.
Ms. Conwell has earned three degrees from Ohio University: a Masters in Financial Economics, a Bachelors in Business Administration in Finance, and a Bachelors in Business Administration in International Business. Her master’s thesis detailed an econometric and statistical model to predict credit spreads.