Jeremy Hughes
Jeremy Hughes, CFA

Senior Vice President, Co-Portfolio Manager

Jeremy Hughes is responsible for portfolio management and investment research, focused primarily on high yield portfolios and other fixed income strategies. He joined the firm in 2013 and has 21 years of industry experience. Prior to joining Calamos, he was a portfolio manager at Aviva Investors in Chicago, overseeing global high yield assets. Previously, he held high yield portfolio management and trading roles at ABN AMRO, Allstate, Citigroup and Van Kampen. Jeremy received a B.S. in Finance from Miami University of Ohio.

Christopher Langs
Christopher Langs, CFA

Senior Vice President, Co-Portfolio Manager

Christopher Langs is responsible for portfolio management and investment research, focused primarily on high yield portfolios and other fixed income strategies. He joined the firm in 2013 and has 22 years of industry experience. Prior to joining Calamos, he was a portfolio manager at Aviva Investors in Chicago, overseeing global high yield assets. Previously, he served as head of high yield research at Aviva. His experience also includes analyst roles at Standish, Aver & Wood and AIG. Chris received a B.A. in Communications and Marketing from Purdue University and an M.B.A. with a specialization in Economics and Finance from the University of Chicago.

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The Opportunity in High Yield

Jeremy Hughes, CFA and Chris Langs, CFA

Co-Portfolio Managers Jeremy Hughes, CFA and Chris Langs, CFA explain the technical factors that fueled July’s high yield selloff. They discuss current asset class fundamentals, valuations, and where Calamos sees the most compelling prospects.

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