Pierre is a portfolio manager on the global high yield team, focusing on managing the global high yield strategies.
Experience and qualifications
Prior to assuming his current role, Pierre has managed multi-credit high beta and buy and hold high yield strategies at Aviva Investors. Previously, he was a high yield portfolio analyst.
He holds a Masters degree in Finance from Paris Dauphine University and an MSc in Banking and Finance from Queen Mary University of London. Pierre is also a CFA charterholder.
Private Placements Credit Analyst
Head of Hard Currency Emerging Market Debt
High Yield Portfolio Manager
Emerging Markets Sovereign Debt Analyst
Senior Portfolio Manager
James Vokins, CFA
Global Head of Investment Grade Credit
Head of Investments, France
Jonathan Manning, CFA
Global Co-Head of High Yield
Global Co-Head of High Yield
Head of Emerging Market Debt and Portfolio Manager, EM Local Currency
Chief Investment Officer, Liquid Markets
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