CFA (2004); CFA UK Certificate in ESG Investing; MSc (1999), École centrale de Lyon, France; DEA (Models and Mathematical Methods in Economics) (1999), Université Paris I, France.
Pierre-Henri is a BlueBay senior portfolio manager within the Convertible Bond group on the BlueBay Fixed Income team at RBC Global Asset Management (UK) Limited. Prior to joining the organization in 2014, he worked as a fund manager at a global asset management firm for five years, having earlier worked in the same role at another leading asset management firm. Pierre-Henri started his career in the investment industry in 1999 in fixed income management. Pierre-Henri holds an MSc from École Centrale de Lyon and a degree (DEA) in Models and Mathematical Methods in Economics from Université Paris I. He has also passed the CFA UK Certificate in environmental, social and governance (ESG) Investing and is a CFA® charterholder.