Flexible Bonds. On economic stimulus and the rocky road to recovery
Ludovic Colin joined Vontobel Asset Management in June 2015 as a Senior Portfolio Manager and foreign exchange and interest rates macro specialist. He is currently Head of the Global Flexible Bonds investment team.
Before joining Vontobel Asset Management, he was Cross Asset Macro Specialist at Goldman Sachs, London, for six years, responsible for identifying macro themes. Prior to that, from 2006 to 2009, he was FX macro portfolio manager at Credit Agricole AM, London. Ludovic started his financial career in 1998 as FX trader at Crédit Lyonnais AM, Paris, followed by various positions at Deutsche Bank, Morgan Stanley and Lehman Brothers.
Ludovic holds a Master’s degree in Finance from the University of Orleans, France, and a degree in Economics and Geopolitics from the University of Poitiers, France.