Yannick Aron

Portfolio Manager

Yannick Aron

Responsibilities

Mr. Aron is a Portfolio Manager in the Corporate and Tax-Exempt Credit group within Fixed Income. He manages Putnam's Emerging Markets Debt, European High Yield, and Global High-Yield strategies. Mr. Aron is responsible for covering the European High Yield market. He joined Putnam in 2002 and has been in the investment industry since 1996.

Download Biography

Experience

Years in the industry: 28
Years at Putnam Investments: 22

  • New Flag Asset Management, Quantitative Analyst, 2001–2002
  • Reech Capital, Consultant, Derivatives, 1999–2000
  • Donaldson Lufkin & Jenrette, Fixed Income Trader, 1996–1998
  • CNRS, Researcher, 1995–1996

Education

  • Ecole Polytechnique, M.A.
  • Universite d’Orsay, M.S.C.