Biography

Peter Yanulis is a Co-Portfolio Manager for the Emerging Markets Debt Blended Total Return, World Credit Asset, Tactical Credit Asset Opportunities and Credit Dislocation strategies at Loomis, Sayles & Company. In addition, he is a Multi-Asset Credit Strategist for the Alpha Strategies Group, focusing primarily on portfolio construction and risk premia. Peter joined Loomis Sayles in 2015 as a Research Analyst covering emerging markets sovereigns and has 19 years of investment industry experience. He was previously at JP Morgan in several roles, but most recently as a vice president on the emerging markets trading desk. Prior to this, Peter was an analyst in the asset management graduate training program and, before that, an analyst in G-10 interest rate derivatives trading. He began his career as an analyst in FX options trading at State Street Global Markets. Peter earned a BA in economics from Boston University and an MA with honors in international economic policy and management from Columbia University.

Latest Insights by Peter Yanulis

Alpha Engine Perspectives
July 17, 2026 • 2 min read

Emerging Markets Debt Blended Total Return Monthly Strategy Update

This monthly review is intended to provide timely insight on recent performance, a current view of exposures, EM Credit & FX regime[…]
Alpha Strategies
Alpha Engine Perspectives
September 4, 2025 • 24 min read

Straight Talk for Strange Times: Fixed Income Experts Weigh In

Loomis Sayles experts share candid insights on some of the biggest questions facing fixed income markets today. Discover their perspectives on shifting[…]