Yannick Rolf Jean Aron

Yannick Rolf Jean Aron

Portfolio Manager-Fixed Income at Putnam Investments Ltd.

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Profile

Mr. Yannick R.
Aron is a Portfolio Manager at Putnam Investments Ltd.
He is responsible for covering the European High Yield market.
He manages Putnam's Emerging Markets Debt, European High Yield, and Global High-Yield strategies.
Mr. Aron joined Putnam in 2002 and has been in the investment industry since 1996.
Previously at Putnam, he was a Risk Manager and Quantitative Analyst on the European High Yield team.
In this role, he was responsible for all valuation and relative-value trading tools, in addition to risk management monitoring.
He has over 28 years of industry experience.
Prior to joining Putnam, Mr. Aron was a Quantitative Analyst at New Flag Asset Management from 2001 to 2002, a Derivatives Consultant at Reech Capital from 1999 to 2000, a Fixed Income Trader at Donaldson Lufkin & Jenrette from 1996 to 1998, and a Researcher at CNRS from 1995 to 1996.
He earned an M.A.
from Ecole Polytechnique and an M.S.C.
from the Universite d'Orsay, France.

Yannick Rolf Jean Aron active positions

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Portfolio Manager-Fixed Income 2020-12-31
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Ecole Polytechnique Graduate Degree

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