Mr. Turner is a member of the Real Estate Securities Portfolio Management and Research Teams. Mr. Turner is a voting member on fixed income portfolios and a non-voting member on equities portfolios. His current duties involve evaluating structured real estate securities with a focus on fixed income instruments such as CMBS, corporate debt and corporate preferred stock. Mr. Turner also provides tenant and credit quality analysis, capital structure analysis and debt pricing analysis for equity portfolios.
Mr. Turner joined Invesco in 2005 as an Acquisitions Analyst and later served as the Associate Portfolio Manager for Invesco Real Estate's U.S. Value Added Funds.
Prior to joining Invesco, Mr. Turner was a financial analyst in the corporate finance group of ORIX Capital Markets where he was responsible for the daily evaluation of a $2 billion fixed-income portfolio, as well as, analyzing the performance of specific collateralized debt obligations. Additionally, he was responsible for the execution of a high-yield repurchase facility and a leveraged loan swap agreement, as well as, implementing certain portfolio hedging strategies.
Mr. Turner holds a Bachelor of Business Administration degree in Finance from Baylor University, a Master of Science degree in Real Estate from the University of Texas at Arlington, and a Master of Business Administration degree specializing in Investments from Southern Methodist University.
Invesco Equity Real Estate Securities Trust
Invesco Equity Global Real Estate Securities Trust
Invesco Equity Global ex-U.S. Real Estate Securities Trust