

Explore the Fixed Income universe of
Rothschild & Co Asset Management
of open-ended funds and tailor-made investment solutions.
#1 Performance driven strategy
The quest for performance, whatever the market environment, is the driving force behind our investment approach. With its expertise, our team steers our range of open-ended funds and dedicated solutions on a daily basis, covering all segments of the Fixed Income universe.
#2 Pragmatic strategy
Our investment processes are clear, comprehensible and structured. As a result, our portfolio managers are able to react and adapt quickly in a transparent and coherent way.

#3 Responsible strategy
The ESG implementation in our Fixed Income expertise is in accordance with our DNA of flexibility and conviction. It is based on a transition approach that aims to combine sustainable performance with financial performance.
#4 Opportunistic strategy
True to our DNA of conviction, our teams think outside the box, seize opportunities as they arise, and use all performance drivers at the right time.

#5 Targeted strategy
Since 2008, our teams have been developing maturity funds in both Investment Grade and High Yield segments. Since its creation, our R-co Target franchise has collected more than €6 billion in assets under management.
#6 Bespoke strategy
Maintaining close relationships with our clients is key. This proximity and daily presence in the field allow our teams to anticipate the needs, stay ahead of market trends, and continuously innovate.
Our Team

Emmanuel Petit
General Partner and Head of Fixed Income
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Kristell Agaësse
Head of High Yield & Convertible Bonds
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Philippe Lomné
Fixed Income Portfolio Manager
Specialisation: IG Credit and Crossover
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Julien Boy
Fixed Income Portfolio Manager
Specialisation : Government bonds and inflation
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Michael Longeard
Fixed Income Portfolio Manager
Specialisation: High Yield and Convertibles
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Nicolas Racaud
Fixed Income Portfolio Manager and ESG specialist
Specialisation: IG Credit, Crossover and ESG funds
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Yann Roux
Fixed Income Portfolio Manager
Specialisation: Money Market and Short-Term Credit
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Samuel Gruen
Fixed Income Portfolio Manager
Specialisation : Relative Value
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Henry Ndong, CFA
Head of Credit Research
Specialisation: High Yield and Investment Grade
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Jérôme Loire
Credit Analyst
Specialisation: High Yield and Investment Grade
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Mirthula Pirapakaran
Credit Analyst
Specialisation: High Yield and Investment Grade
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Solweig Pierronnet
Credit Analyst
Specialisation: High Yield and Investment Grade
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Natally Loaiza Santamaria
ESG Credit Analyst
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Antoine Da Silva
Portfolio Manager Assistant
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Our Know-how