Stephanie Bigou began her career in 1998 at Bnp Paribas Asset Management as a quantitative analyst specialised on the US equity market. In 2004, she moved to the Economic Research team at BNP Paribas Asset Management, as an Economist specialised on the Emerging markets. In 2006, she joined Ixis Asset Management as an Economist specialised on the Emerging markets within the Economic and Strategy Team. One year later, her coverage has been extended to the developped countries. In 2008, she became a global strategist within the Asset Allocation Department at Natixis Asset Management, and portfolio manager of Flexible funds.
Since 2012, Stephanie Bigou is a portfolio manager in Seeyond’s Multi-Asset & Volatility investment team.
Stephanie Bigou holds a Masters's degree in Economics, Econometrics & Statistics from the Toulouse School of Economics (Toulouse University) and a Master's degree in Mathematics applied to Finance (Toulouse University).