Fabien Georges holds a Master's degree in Applied Economics and a Master II Asset Management 222 from Paris Dauphine University.
Fabien Georges began his career at Avenir Finance IM in 2007 in diversified management. In 2011, he joined La Française AM group where he held various management and financial engineering responsibilities. In 2014, he joined Groupama SA as a portfolio manager, which he left a year later for Convictions AM, where he held a position of manager of flexible multi-asset class funds.
In June 2019, he joins DNCA Finance in the Absolute Bond Performance team, as portfolio manager.
Insights from DNCA
Fixed income
Fixed Income: Watch out for the tail risk of geopolitics
Conflict in the Middle East. Russia’s war with Ukraine. A trade war between the US and China. Geopolitics shouldn’t necessarily be a source of concern for investors, but in 2024 it has all the potential to translate into market volatility.
Sustainable investing
Sustainable Investing: Still playing the long game?
Geopolitics coupled with underperformance has contributed to an ESG backlash in recent years. Meanwhile, clients have become more discerning about the credibility of sustainable investments. So, what’s next for ESG?
Macro views
Geopolitics, deglobalisation and central bank reactions
DNCA's Global Product Manager Daniel Claringbull provides a snapshot of the fixed income investment landscape, assessing risks, opportunities and where rates may be headed in the second half of 2024.